Madison Square Garden Sports Corp. - Class A Common Stock, par value $.01 per share (MSGS) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2015 to Q4 2025

Type / Class
Equity / Class A Common Stock, par value $.01 per share
Symbol
MSGS on NYSE
Shares outstanding
22,551,447
Price per share
$285.64
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
18,300,324
Total reported value
$4,733,711,475
% of total 13F portfolios
0.01%
Share change
+433,184
Value change
+$123,509,891
Number of holders
370
Price from insider filings
$285.64
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Madison Square Garden Sports Corp. - Class A Common Stock, par value $.01 per share (MSGS) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
DOLAN JAMES LAWRENCE 13% +4.6% $850,290,581 +$48,080,639 2,976,791 +6% Mary S. Dolan, as a Trustee of certain trusts described herein 20 Feb 2026
BlackRock, Inc. 10% +6.7% $506,908,478 +$35,562,306 1,959,824 +7.5% BlackRock, Inc. 31 Dec 2025
VANGUARD GROUP INC 8.9% $331,604,743 1,729,450 The Vanguard Group 31 Mar 2025

As of 31 Dec 2025, 370 institutional investors reported holding 18,300,324 shares of Madison Square Garden Sports Corp. - Class A Common Stock, par value $.01 per share (MSGS). This represents 81% of the company’s total 22,551,447 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of Madison Square Garden Sports Corp. - Class A Common Stock, par value $.01 per share (MSGS) together control 61% 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
BlackRock, Inc. 8.9% 1,996,543 +2.5% 0.01% $516,405,860
Silver Lake Group, L.L.C. 8.4% 1,899,962 0% 9.8% $491,425,171
VANGUARD GROUP INC 8.1% 1,837,452 -0.99% 0.01% $475,256,960
ARIEL INVESTMENTS, LLC 3.2% 722,495 -0.62% 2% $186,873,332
PRICE T ROWE ASSOCIATES INC /MD/ 3.1% 699,378 +68% 0.02% $180,895,000
T. Rowe Price Investment Management, Inc. 2.9% 648,515 +8.2% 0.11% $167,739,000
GAMCO INVESTORS, INC. ET AL 2.7% 613,391 +1.1% 1.5% $158,653,582
GATES FOUNDATION TRUST 2.6% 592,406 0% 0.43% $153,225,812
STATE STREET CORP 2.4% 538,404 +3% 0% $139,258,195
Clearbridge Investments, LLC 2% 453,585 -12% 0.09% $117,319,760
Greenhouse Funds LLLP 1.9% 422,091 -0.47% 4.2% $109,173,837
GABELLI FUNDS LLC 1.7% 394,292 +0.92% 0.69% $101,983,626
VICTORY CAPITAL MANAGEMENT INC 1.5% 334,406 -27% 0.05% $86,494,112
TOMS Capital Investment Management LP 1.5% 329,705 +83% 5.9% $85,278,198
MORGAN STANLEY 1.4% 314,961 -17% 0% $81,465,126
Kohlberg Kravis Roberts & Co. L.P. 1.4% 305,068 0% 1.3% $78,905,838
GEODE CAPITAL MANAGEMENT, LLC 1.3% 291,057 +1.3% 0% $75,300,543
REINHART PARTNERS, LLC. 0.95% 214,891 1.7% $55,586,085
BAMCO INC /NY/ 0.89% 200,015 -11% 0.14% $51,733,880
NORGES BANK 0.88% 197,592 0.01% $51,107,171
Contour Asset Management LLC 0.85% 191,008 +12% 1.2% $49,404,219
MANUFACTURERS LIFE INSURANCE COMPANY, THE 0.7% 157,830 -15% 0.03% $40,822,730
SYSTEMATIC FINANCIAL MANAGEMENT LP 0.69% 156,489 +3.6% 0.95% $40,476,264
Southpoint Capital Advisors LP 0.67% 150,000 0% 0.9% $38,797,500
MILLENNIUM MANAGEMENT LLC 0.58% 131,123 +182% 0.02% $33,914,964

Institutional Holders of Madison Square Garden Sports Corp. - Class A Common Stock, par value $.01 per share (MSGS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 18,300,324 $4,733,711,475 +$123,509,891 $258.65 370
2025 Q3 17,759,181 $4,031,246,314 +$184,311,786 $227.00 356
2025 Q2 16,997,188 $3,551,584,678 +$79,089,838 $208.95 355
2025 Q1 16,639,759 $3,240,567,274 -$79,132,612 $194.72 340
2024 Q4 16,983,138 $3,832,634,490 +$89,349,694 $225.68 340
2024 Q3 16,550,681 $3,444,411,284 -$26,184,342 $208.26 322
2024 Q2 16,771,636 $3,155,355,213 +$42,918,232 $188.13 304
2024 Q1 16,560,062 $3,055,858,628 +$31,867,081 $184.52 305
2023 Q4 16,481,959 $2,996,879,974 -$120,067,904 $181.83 291
2023 Q3 17,004,808 $2,998,081,419 +$178,006,339 $176.30 276
2023 Q2 16,111,193 $3,029,818,654 -$19,502,323 $188.05 294
2023 Q1 16,206,383 $3,157,818,404 -$38,714,191 $194.85 269
2022 Q4 16,409,503 $3,008,120,631 +$86,206,148 $183.33 260
2022 Q3 16,106,777 $2,191,111,141 +$65,565,316 $136.66 242
2022 Q2 15,548,445 $2,348,516,893 -$3,674,606 $151.00 241
2022 Q1 15,635,705 $2,803,595,625 -$95,391,664 $179.36 251
2021 Q4 16,183,219 $2,811,482,032 -$45,748,674 $173.73 254
2021 Q3 16,701,984 $3,106,034,694 +$53,918,232 $185.95 247
2021 Q2 16,435,874 $2,836,444,048 +$47,485,439 $172.57 265
2021 Q1 16,136,206 $2,896,024,724 -$28,095,865 $179.46 290
2020 Q4 16,339,776 $3,008,383,706 -$81,012,170 $184.10 269
2020 Q3 17,078,954 $2,570,153,096 +$17,554,408 $150.48 250
2020 Q2 17,013,882 $2,499,193,170 -$83,119,943 $146.89 248
2020 Q1 17,548,496 $3,709,864,874 -$9,198,881 $211.41 267
2019 Q4 17,068,402 $5,023,532,814 +$39,837,033 $294.19 292
2019 Q3 16,962,263 $4,469,884,991 -$174,216,552 $263.52 275
2019 Q2 17,573,624 $4,918,939,764 +$28,546,848 $279.94 323
2019 Q1 17,548,358 $5,143,968,928 -$247,390,506 $293.13 329
2018 Q4 18,472,731 $4,945,365,269 +$299,628,175 $267.70 294
2018 Q3 16,969,218 $5,348,555,187 +$45,100,485 $315.32 285
2018 Q2 16,481,496 $5,112,519,830 -$98,935,189 $310.19 298
2018 Q1 17,082,835 $4,198,966,454 +$154,672,170 $245.80 264
2017 Q4 16,607,271 $3,502,215,639 -$134,350,448 $210.85 252
2017 Q3 17,194,873 $3,681,171,527 +$25,350,957 $214.10 254
2017 Q2 17,085,057 $3,364,196,062 +$208,349,909 $196.90 235
2017 Q1 16,422,011 $3,279,688,365 -$74,180,905 $199.71 232
2016 Q4 17,789,250 $3,051,244,998 +$75,555,876 $171.51 218
2016 Q3 17,294,550 $2,926,632,901 -$57,288,812 $169.41 211
2016 Q2 17,694,355 $3,052,576,359 +$14,183,865 $172.51 212
2016 Q1 17,531,799 $2,916,179,999 -$13,919,267 $166.36 206
2015 Q4 17,699,832 $2,863,336,062 +$2,643,696,723 $161.80 213
2015 Q3 622,471 $45,403,000 +$45,403,000 $72.14 19