ACCO BRANDS Corp - Common (ACCO) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common
Symbol
ACCO on NYSE
Shares outstanding
90,626,574
Price per share
$3.93
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
73,441,220
Total reported value
$273,634,391
% of total 13F portfolios
0%
Share change
-1,510,133
Value change
-$5,871,536
Number of holders
201
Price from insider filings
$3.93
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ACCO BRANDS Corp - Common (ACCO) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Allspring Global Investments Holdings, LLC 8.1% +21% $26,089,214 +$4,179,485 7,288,508 +19% Allspring Global Investments Holdings, LLC 30 Jun 2025
CAPITAL MANAGEMENT CORP /VA 6.1% +20% $20,620,264 +$3,638,432 5,528,221 +21% The Capital Management Corporation 31 Dec 2025
DIMENSIONAL FUND ADVISORS LP 4.8% -6% $16,252,244 -$845,729 4,357,170 -4.9% Dimensional Fund Advisors LP 31 Dec 2025
WELLINGTON MANAGEMENT GROUP LLP 2.3% $8,494,397 2,166,938 Wellington Management Group LLP 31 Dec 2024

As of 31 Dec 2025, 201 institutional investors reported holding 73,441,220 shares of ACCO BRANDS Corp - Common (ACCO). This represents 81% of the company’s total 90,626,574 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of ACCO BRANDS Corp - Common (ACCO) together control 67% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
Allspring Global Investments Holdings, LLC 8.4% 7,649,602 +2.5% 0.05% $28,227,031
BlackRock, Inc. 8.1% 7,318,461 +0.19% 0% $27,297,860
VANGUARD GROUP INC 6.8% 6,185,383 -0.84% 0% $23,071,478
CAPITAL MANAGEMENT CORP /VA 6.1% 5,528,221 -8.3% 3.4% $20,620,264
DIMENSIONAL FUND ADVISORS LP 4.8% 4,357,170 -4.9% 0% $16,252,253
AMERICAN CENTURY COMPANIES INC 3.6% 3,241,705 +7.4% 0.01% $12,091,560
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 3.5% 3,148,160 +28% 0% $11,742,637
LSV ASSET MANAGEMENT 3.3% 2,951,100 -1.4% 0.02% $11,008,000
AQR CAPITAL MANAGEMENT LLC 2.9% 2,667,285 -9.9% 0.01% $9,948,971
GEODE CAPITAL MANAGEMENT, LLC 2.4% 2,171,280 +0.72% 0% $8,101,026
STATE STREET CORP 2.1% 1,885,975 -0.37% 0% $7,034,687
GOLDMAN SACHS GROUP INC 1.8% 1,654,306 +17% 0% $6,170,560
READYSTATE ASSET MANAGEMENT LP 1.7% 1,517,338 +64% 0.25% $5,659,671
RENAISSANCE TECHNOLOGIES LLC 1.4% 1,313,447 +32% 0.01% $4,899,157
AMERIPRISE FINANCIAL INC 1.2% 1,120,312 +17% 0% $4,178,764
CSM Advisors, LLC 1.2% 1,118,591 +33% 0.11% $4,172,000
BANK OF AMERICA CORP /DE/ 1.1% 989,763 -16% 0% $3,691,817
MORGAN STANLEY 0.95% 864,736 -1% 0% $3,225,465
First Eagle Investment Management, LLC 0.95% 862,369 -0.35% 0.01% $3,216,636
PRUDENTIAL FINANCIAL INC 0.83% 756,003 -8.4% 0% $2,819,891
Bank of New York Mellon Corp 0.82% 745,467 -24% 0% $2,780,591
BRIDGEWAY CAPITAL MANAGEMENT, LLC 0.8% 723,858 -13% 0.06% $2,699,990
NORTHERN TRUST CORP 0.79% 714,267 -6.2% 0% $2,664,217
D. E. Shaw & Co., Inc. 0.77% 701,532 -21% 0% $2,616,714
TWO SIGMA ADVISERS, LP 0.77% 693,665 -13% 0.01% $2,587,370

Institutional Holders of ACCO BRANDS Corp - Common (ACCO) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 73,441,220 $273,634,391 -$5,871,536 $3.73 201
2025 Q3 74,560,026 $298,090,248 +$8,376,216 $3.99 191
2025 Q2 72,594,122 $261,809,490 -$2,000,990 $3.58 194
2025 Q1 73,899,727 $310,039,322 -$18,970,788 $4.19 219
2024 Q4 77,383,179 $405,896,640 +$1,450,783 $5.25 230
2024 Q3 76,525,853 $418,442,581 -$15,195,851 $5.47 222
2024 Q2 79,290,214 $372,661,366 +$303,511 $4.70 220
2024 Q1 79,037,992 $443,357,875 -$7,765,329 $5.61 229
2023 Q4 80,114,634 $487,187,758 +$6,259,541 $6.08 220
2023 Q3 78,969,464 $453,254,031 +$7,846,845 $5.74 211
2023 Q2 76,530,317 $398,727,456 +$809,284 $5.21 208
2023 Q1 77,314,041 $411,477,865 +$470,235 $5.32 201
2022 Q4 77,200,911 $431,557,586 +$4,055,937 $5.59 201
2022 Q3 77,020,276 $377,264,464 -$20,781,824 $4.90 181
2022 Q2 80,992,658 $529,125,824 -$3,637,051 $6.53 167
2022 Q1 83,717,614 $669,003,104 +$8,815,600 $8.00 189
2021 Q4 82,610,118 $682,322,062 -$41,790,410 $8.26 180
2021 Q3 83,105,935 $714,245,656 +$2,628,878 $8.59 168
2021 Q2 83,202,204 $717,895,081 -$2,522,400 $8.63 164
2021 Q1 83,564,867 $705,313,304 -$21,798,467 $8.44 173
2020 Q4 86,227,571 $728,615,651 +$5,253,665 $8.45 162
2020 Q3 84,811,321 $492,516,630 -$11,227,802 $5.80 170
2020 Q2 86,841,986 $616,181,961 +$3,206,190 $7.10 166
2020 Q1 86,789,508 $438,183,006 -$15,234,318 $5.05 169
2019 Q4 88,495,886 $828,174,243 +$1,671,957 $9.36 180
2019 Q3 88,036,193 $868,808,437 -$23,100,451 $9.87 181
2019 Q2 90,947,693 $714,647,797 +$5,361,116 $7.87 168
2019 Q1 94,090,024 $805,405,337 -$491,888 $8.56 177
2018 Q4 94,551,797 $641,047,931 -$35,241,988 $6.78 197
2018 Q3 97,651,689 $1,103,520,654 -$20,031,516 $11.30 204
2018 Q2 99,192,938 $1,373,823,364 -$34,120,190 $13.85 214
2018 Q1 101,720,533 $1,276,569,170 +$8,132,040 $12.55 220
2017 Q4 101,381,804 $1,237,597,344 +$12,494,365 $12.20 210
2017 Q3 100,066,101 $1,192,486,458 -$19,354,547 $11.90 187
2017 Q2 101,732,043 $1,185,169,445 -$10,630,751 $11.65 200
2017 Q1 102,364,698 $1,346,089,719 +$109,588,308 $13.15 203
2016 Q4 100,954,156 $1,317,826,636 -$3,101,160 $13.05 213
2016 Q3 101,396,281 $976,624,733 -$10,877,319 $9.64 198
2016 Q2 102,455,760 $1,058,352,146 -$8,765,413 $10.33 194
2016 Q1 104,095,624 $934,811,024 +$1,940,107 $8.98 190
2015 Q4 103,555,419 $738,623,404 -$8,755,199 $7.13 183
2015 Q3 105,297,429 $744,445,926 +$1,639,237 $7.07 180
2015 Q2 105,133,609 $816,891,268 -$12,306,331 $7.77 176
2015 Q1 106,547,265 $885,389,779 +$13,057,215 $8.31 183
2014 Q4 104,932,403 $945,262,127 -$4,535,610 $9.01 190
2014 Q3 108,591,402 $748,915,498 -$44,728,928 $6.90 182
2014 Q2 115,111,033 $737,867,118 -$7,913,068 $6.41 163
2014 Q1 115,215,633 $709,583,908 -$7,998,257 $6.16 151