Institutional Ownership Stepan CO (SCL)
This table provides information about the institutional ownership of Stepan CO (SCL). We have compiled data on the 217 institutions that hold shares in the stock, with a total of 19.6 Million shares, which have been reported (via 13F filing form) to have a value of $851 Million.
| Holding | Report Date | shares Held | Holding Value (Reported) | Last Trade | Trade History | 
|---|---|---|---|---|---|
| Holding | Report Date | shares Held | Holding Value (Reported) | Last Trade | Trade History | 
|               
                
   
      Great West Life Assurance CO 
       
                                 
              Winnipeg, A2  | 
              Aug 14, 2025 Q2 2025 | 
                 17,803 
                shares            
               | 
              
                 
                    $771,760
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 18.13%
                                         
                 | 
              |
|               
                
   
      Sg Americas Securities, LLC
      
   
                                 
               | 
              Oct 23, 2025 Q3 2025 | 
                 17,393 
                shares            
               | 
              
                 
                    $753,986
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q3 2025
                      Added 96.75%
                                         
                 | 
              |
|               
                
   
      Creative Planning
       
                                 
              Overland Park, KS  | 
              Aug 08, 2025 Q2 2025 | 
                 17,279 
                shares            
               | 
              
                 
                    $749,044
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 90.82%
                                         
                 | 
              |
|               
                
   
      Texas Permanent School Fund
       
                                 
              Austin, TX  | 
              Sep 24, 2025 Q2 2025 | 
                 16,381 
                shares            
               | 
              
                 
                    $710,116
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q1 2025
                      New holding
                                         
                 | 
              |
|               
                
   
      Quantinno Capital Management LP
       
                                 
              New York, NY  | 
              Aug 14, 2025 Q2 2025 | 
                 15,899 
                shares            
               | 
              
                 
                    $689,221
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 208.42%
                                         
                 | 
              |
|               
                
   
      Deutsche Bank Ag\
       
                                 
              Frankfurt Am Main, 2M  | 
              Aug 12, 2025 Q2 2025 | 
                 15,599 
                shares            
               | 
              
                 
                    $676,216
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 12.39%
                                         
                 | 
              |
|               
                
   
      Cwm, LLC
      
   
                                 
               | 
              Oct 15, 2025 Q3 2025 | 
                 15,542 
                shares            
               | 
              
                 
                    $673,745
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q3 2025
                      Reduced 9.11%
                                         
                 | 
              |
|               
                
   
      Intech Investment Management LLC
       
                                 
              West Palm Beach, FL  | 
              Aug 08, 2025 Q2 2025 | 
                 15,257 
                shares            
               | 
              
                 
                    $661,390
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 15.73%
                                         
                 | 
              |
|               
                
   
      Ieq Capital, LLC
      
   
                                 
               | 
              Aug 14, 2025 Q2 2025 | 
                 15,097 
                shares            
               | 
              
                 
                    $654,454
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 94.2%
                                         
                 | 
              |
|               
                
   
      Summer Haven Investment Management, LLC
      
   
                                 
               | 
              Nov 03, 2025 Q3 2025 | 
                 14,286 
                shares            
               | 
              
                 
                    $619,298
                    0.41% of portfolio                               
                         
                 | 
              
                 
                    Q3 2025
                      New holding
                                         
                 | 
              |
|               
                
   
      Wells Fargo & Company
       
                                 
              San Francisco, CA  | 
              Aug 14, 2025 Q2 2025 | 
                 14,284 
                shares            
               | 
              
                 
                    $619,211
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 1.37%
                                         
                 | 
              |
|               
                
   
      Schonfeld Strategic Advisors LLC
       
                                 
              New York, NY  | 
              Aug 14, 2025 Q2 2025 | 
                 13,912 
                shares            
               | 
              
                 
                    $603,085
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 16.14%
                                         
                 | 
              |
|               
                
   
      Ken Griffin                        
      Citadel Advisors LLC | Chicago, Il
   
                                 
               | 
              Aug 14, 2025 Q2 2025 | 
                 13,312 
                shares            
               | 
              
                 
                    $577,075
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 72.2%
                                         
                 | 
              |
|               
                
   
      Royal Bank Of Canada
       
                                 
              Toronto, A6  | 
              Aug 14, 2025 Q2 2025 | 
                 13,199 
                shares            
               | 
              
                 
                    $572,176
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 17.73%
                                         
                 | 
              |
|               
                
   
      Met Life Investment Management, LLC
       
                                 
              Whippany, NJ  | 
              Aug 13, 2025 Q2 2025 | 
                 12,659 
                shares            
               | 
              
                 
                    $548,767
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q1 2025
                      Reduced 1.6%
                                         
                 | 
              |
|               
                
   
      Moneta Group Investment Advisors LLC
       
                                 
              St Louis, MO  | 
              Aug 14, 2025 Q2 2025 | 
                 12,484 
                shares            
               | 
              
                 
                    $541,181
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 21.96%
                                         
                 | 
              |
|               
                
   
      Mirae Asset Global Etfs Holdings Ltd.
       
                                 
              Central, K3  | 
              Aug 14, 2025 Q2 2025 | 
                 11,816 
                shares            
               | 
              
                 
                    $512,223
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 6.97%
                                         
                 | 
              |
|               
                
   
      State Of Alaska, Department Of Revenue
      
   
                                 
               | 
              Oct 23, 2025 Q3 2025 | 
                 11,728 
                shares            
               | 
              
                 
                    $508,408
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q3 2025
                      Reduced 7.16%
                                         
                 | 
              |
|               
                
   
      Aquatic Capital Management LLC
       
                                 
              Chicago, IL  | 
              Aug 14, 2025 Q2 2025 | 
                 11,425 
                shares            
               | 
              
                 
                    $495,273
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 146.65%
                                         
                 | 
              |
|               
                
   
      Illinois Municipal Retirement Fund
      
   
                                 
               | 
              Aug 07, 2025 Q2 2025 | 
                 10,950 
                shares            
               | 
              
                 
                    $474,682
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 4.07%
                                         
                 | 
              |
|               
                
   
      Manufacturers Life Insurance Company, The
       
                                 
              Toronto, A6  | 
              Aug 14, 2025 Q2 2025 | 
                 10,486 
                shares            
               | 
              
                 
                    $454,568
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 1.18%
                                         
                 | 
              |
|               
                
   
      Pdt Partners, LLC
       
                                 
              New York, NY  | 
              Aug 14, 2025 Q2 2025 | 
                 10,486 
                shares            
               | 
              
                 
                    $454,568
                    0.04% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      New holding
                                         
                 | 
              |
|               
                
   
      State Of Tennessee, Treasury Department
       
                                 
              Nashville, TN  | 
              Aug 15, 2025 Q2 2025 | 
                 10,286 
                shares            
               | 
              
                 
                    $445,898
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q1 2025
                      Reduced 22.21%
                                         
                 | 
              |
|               
                
   
      Toroso Investments, LLC
       
                                 
              Massapequa, NY  | 
              Aug 14, 2025 Q2 2025 | 
                 10,272 
                shares            
               | 
              
                 
                    $445,291
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 58.25%
                                         
                 | 
              |
|               
                
   
      Louisiana State Employees Retirement System
      
   
                                 
               | 
              Oct 22, 2025 Q3 2025 | 
                 9,900 
                shares            
               | 
              
                 
                    $429,165
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 1.0%
                                         
                 |