ORSTED A/S F - ADR (DNNGY) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2017 to Q4 2025

Type / Class
Equity / ADR
Symbol
DNNGY
Price per share
$7.60
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
193,240
Total reported value
$1,234,761
% of total 13F portfolios
0%
Share change
+106,300
Value change
+$679,679
Number of holders
7
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 7 institutional investors reported holding 193,240 shares of ORSTED A/S F - ADR (DNNGY).

Institutional Holders of ORSTED A/S F - ADR (DNNGY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 193,240 $1,234,761 +$679,679 $6.31 7
2025 Q3 56,940 $745,993 +$392,195 $13.67 6
2025 Q2 25,879 $368,517 +$2,390 $14.24 5
2025 Q1 25,712 $375,387 +$51,224 $14.60 3
2024 Q4 22,199 $331,420 +$22,185 $14.93 4
2024 Q3 20,713 $457,954 +$53,904 $22.11 4
2024 Q2 18,275 $321,448 +$25,171 $17.59 4
2024 Q1 16,644 $310,150 -$505,992 $18.64 3
2023 Q4 44,217 $817,099 -$3,481,646 $18.50 5
2023 Q3 233,228 $4,242,330 +$666,662 $18.10 7
2023 Q2 196,615 $6,196,071 +$263,702 $31.53 8
2023 Q1 189,241 $5,359,987 +$719,351 $28.30 6
2022 Q4 163,853 $4,946,630 +$63,187 $30.18 4
2022 Q3 161,762 $4,305,000 -$26,081 $26.57 4
2022 Q2 162,804 $5,668,000 +$2,350,432 $35.07 6
2022 Q1 95,393 $4,039,000 +$186,916 $42.38 4
2021 Q4 90,820 $3,869,000 +$479,328 $42.76 7
2021 Q3 79,569 $3,509,000 +$364,612 $44.12 5
2021 Q2 71,295 $3,352,369 -$29,600,983 $47.93 6
2021 Q1 613,689 $33,381,488 +$4,444,716 $54.43 8
2020 Q4 531,959 $36,351,000 +$10,878,901 $68.29 5
2020 Q3 372,774 $17,161,000 +$321,699 $46.01 4
2020 Q2 365,806 $14,122,000 +$5,970,263 $38.46 3
2020 Q1 211,179 $6,877,000 +$3,810,497 $32.58 3
2019 Q4 94,207 $3,264,000 +$3,181,434 $34.53 2
2019 Q3 2,399 $75,000 +$782 $31.26 1
2019 Q2 2,374 $47,000 +$3,088 $19.80 1
2019 Q1 2,218 $56,000 -$3,939 $25.25 1
2018 Q4 2,374 $52,000 $21.90 1
2018 Q3 2,374 $53,000 $22.33 1
2018 Q2 2,374 $47,000 $19.80 1
2018 Q1 2,374 $51,000 +$40,753 $21.48 1
2017 Q4 477 $43,000 $90.15 1