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Security record · archived quarter

SPB

Spectrum Brands Holdings, Inc. · Consumer Defensive · Household & Personal Products

88.95 +1.2% mkt cap $2.06B quote delayed (FMP) · as of Aug 25 22:08 UTC — separate from filing data below

Q2 2026 Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024
15Tracked holders
0Δ holders
8.26MShares held
$434.02MReported value
+2New positions
−3Exits
Falling Conviction score 27/100 How these are computed → Explain this at the Research Desk →

Momentum inputs (comparable managers): holder breadth 0.0% · share flow -12.5% · net new positions -6.7%formula

All ownership figures: tracked 13F managers only, common-stock positions, reporting period Q3 2025

Ownership over time
QuarterHoldersΔSharesReported valueNewExits
Q2 2026 107 +3 16.63M $1.37B +7 −5
Q1 2026 108 +17 16.09M $1.15B +18 −1
Q4 2025 89 +1 17.63M $1.01B +2 −1
Q3 2025 15 0 8.26M $434.02M +2 −3
Q2 2025 13 -3 8.75M $463.69M −3
Q1 2025 13 0 3.82M $272.79M
Q4 2024 13 -1 2.89M $244.46M −1
Q3 2024 13 0 1.86M $176.76M +1 −1
Q2 2024 13 2.53M $217.58M
Holder count
Who holds it · Q3 2025
#ManagerSharesΔ sharesValueTheir weightHeld
1 The Vanguard Group (passive) 2.62M -6.2% $137.48M 0.0% ▼ Trim 2 SEC ↗
2 The Vanguard Group (passive) 2.62M -6.2% $137.48M 0.0% ▼ Trim 2 SEC ↗
3 The Vanguard Group (passive) 2.62M -6.2% $137.48M 0.0% ▼ Trim 2 SEC ↗
4 The Vanguard Group (passive) 2.62M -6.2% $137.48M 0.0% ▼ Trim 2 SEC ↗
5 The Vanguard Group (passive) 2.62M -6.2% $137.48M 0.0% ▼ Trim 2 SEC ↗
6 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
7 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
8 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
9 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
10 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
11 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
12 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
13 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
14 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
15 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
16 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
17 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
18 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
19 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
20 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
21 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
22 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
23 BlackRock (passive) 2.01M +2.6% $105.43M 0.0% ▲ Add 2 SEC ↗
24 State Street Global Advisors (passive) 608.18K -8.9% $31.95M 0.0% ▼ Trim 4 SEC ↗
25 State Street Global Advisors (passive) 608.18K -8.9% $31.95M 0.0% ▼ Trim 4 SEC ↗
26 Goldman Sachs Group 593.65K $31.18M 0.0% n/c 1 SEC ↗
27 Goldman Sachs Group 593.65K $31.18M 0.0% n/c 1 SEC ↗
28 Goldman Sachs Group 593.65K $31.18M 0.0% n/c 1 SEC ↗
29 Geode Capital Management (passive) 578.94K -4.5% $30.42M 0.0% ▼ Trim 6 SEC ↗
30 Geode Capital Management (passive) 578.94K -4.5% $30.42M 0.0% ▼ Trim 6 SEC ↗
31 Two Sigma Investments 515.13K +39.2% $27.06M 0.0% ▲ Add 6 SEC ↗
32 GAMCO Investors 325.51K +1.0% $17.10M 0.2% ▲ Add 6 SEC ↗
33 Fidelity (FMR) 268.55K -14.7% $14.11M 0.0% ▼ Trim 2 SEC ↗
34 Fidelity (FMR) 268.55K -14.7% $14.11M 0.0% ▼ Trim 2 SEC ↗
35 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
36 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
37 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
38 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
39 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
40 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
41 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
42 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
43 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
44 Morgan Stanley 250.77K $13.17M 0.0% n/c 1 SEC ↗
45 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
46 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
47 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
48 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
49 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
50 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
51 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
52 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
53 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
54 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
55 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
56 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
57 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
58 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
59 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
60 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
61 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
62 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
63 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
64 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
65 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
66 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
67 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
68 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
69 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
70 JPMorgan Chase 163.12K $8.57M 0.0% n/c 1 SEC ↗
71 Millennium Management 115.71K New $6.08M 0.0% New 1 SEC ↗
72 Citadel Advisors 104.05K -86.0% $5.47M 0.0% ▼ Trim 6 SEC ↗
73 AQR Capital Management 48.95K -87.6% $2.56M 0.0% ▼ Trim 6 SEC ↗
74 AQR Capital Management 48.95K -87.6% $2.56M 0.0% ▼ Trim 6 SEC ↗
75 AQR Capital Management 48.95K -87.6% $2.56M 0.0% ▼ Trim 6 SEC ↗
76 AQR Capital Management 48.95K -87.6% $2.56M 0.0% ▼ Trim 6 SEC ↗
77 Point72 Asset Management 43.01K New $2.26M 0.0% New 1 SEC ↗
78 Point72 Asset Management 43.01K New $2.26M 0.0% New 1 SEC ↗
79 T. Rowe Price 22.69K -0.4% $1.19M 0.0% ▼ Trim 6 SEC ↗

“Their weight” = the position's share of that manager's reported 13F equity value — the conviction measure. ✦ = curated manager.

New buyers

Millennium Management $6.08M 0.0%
Point72 Asset Management $2.26M 0.0%
Point72 Asset Management $2.26M 0.0%

Exited

Norges Bank $16.84M was 0.0%
Wellington Management $11.83M was 0.0%
D. E. Shaw & Co. $1.10M was 0.0%

Full-market context: across ALL 13F filers (SEC structured data, Q1 2026): 282 holders, 26.21M shares, $1.82B reported. This is a different, older period than the tracked-universe figures above and the two are never mixed.

Frequently co-owned

What else this security's tracked holders most often hold — shared-ownership counts, not fundamental relationships.

Provenance: Ownership from parsed 13F common-stock positions (tracked universe, comparable sets for changes); insider rows from Forms 3/4/5; stakes from Schedules 13D/13G; every filing links to its original on SEC EDGAR. Reporting period: Q3 2025 · Methodology · Get this via the API