Institutional Ownership Warner Bros. Discovery, Inc. (WBD)
This table provides information about the institutional ownership of Warner Bros. Discovery, Inc. (WBD). We have compiled data on the 1,399 institutions that hold shares in the stock, with a total of 1.76 Billion shares, which have been reported (via 13F filing form) to have a value of $39.5 Billion.
| Holding | Report Date | shares Held | Holding Value (Reported) | Last Trade | Trade History | 
|---|---|---|---|---|---|
| Holding | Report Date | shares Held | Holding Value (Reported) | Last Trade | Trade History | 
|               
                
   
      Banco Bilbao Vizcaya Argentaria, S.A.
      
   
                                 
               | 
              Aug 08, 2025 Q2 2025 | 
                 972,388 
                shares            
               | 
              
                 
                    $21.8 Million
                    0.1% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 1.55%
                                         
                 | 
              |
|               
                
   
      Mitsubishi Ufj Trust & Banking Corp
       
                                 
              Tokyo, M0  | 
              Oct 31, 2025 Q3 2025 | 
                 959,831 
                shares            
               | 
              
                 
                    $21.5 Million
                    0.04% of portfolio                               
                         
                 | 
              
                 
                    Q3 2025
                      Reduced 3.2%
                                         
                 | 
              |
|               
                
   
      Ensign Peak Advisors, Inc
       
                                 
              Salt Lake City, UT  | 
              May 14, 2025 Q1 2025 | 
                 958,270 
                shares            
               | 
              
                 
                    $21.5 Million
                    0.02% of portfolio                               
                         
                 | 
              
                 
                    Q1 2025
                      Added 0.5%
                                         
                 | 
              |
|               
                
   
      Mango Investments LLC
       
                                 
              Denver, CO  | 
              May 15, 2024 Q1 2024 | 
                 951,361 
                shares            
               | 
              
                 
                    $21.4 Million
                    6.14% of portfolio                               
                         
                 | 
              
                 
                    Q4 2023
                      New holding
                                         
                 | 
              |
|               
                
   
      Staley Capital Advisers Inc
      
   
                                 
               | 
              Aug 14, 2025 Q2 2025 | 
                 948,811 
                shares            
               | 
              
                 
                    $21.3 Million
                    0.47% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 0.08%
                                         
                 | 
              |
|               
                
   
      Healthcare Of Ontario Pension Plan Trust Fund
       
                                 
              Toronto, A6  | 
              Aug 13, 2025 Q2 2025 | 
                 940,703 
                shares            
               | 
              
                 
                    $21.1 Million
                    0.02% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 12.34%
                                         
                 | 
              |
|               
                
   
      Nomura Asset Management CO LTD
       
                                 
              Tokyo, M0  | 
              Aug 11, 2025 Q2 2025 | 
                 915,487 
                shares            
               | 
              
                 
                    $20.6 Million
                    0.03% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 1.28%
                                         
                 | 
              |
|               
                
   
      Mane Global Capital Management LP
       
                                 
              New York, NY  | 
              Aug 14, 2025 Q2 2025 | 
                 900,000 
                shares            
               | 
              
                 
                    $20.2 Million
                    0.48% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      New holding
                                         
                 | 
              |
|               
                
   
      Mn Services Vermogensbeheer B.V.
      
   
                                 
               | 
              Oct 31, 2025 Q3 2025 | 
                 878,600 
                shares            
               | 
              
                 
                    $19.7 Million
                    0.11% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 4.28%
                                         
                 | 
              |
|               
                
   
      Poehling Capital Management, Inc.
       
                                 
              Madison, WI  | 
              Aug 11, 2025 Q2 2025 | 
                 878,069 
                shares            
               | 
              
                 
                    $19.7 Million
                    2.43% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 17.5%
                                         
                 | 
              |
|               
                
   
      Ameriprise Financial Inc
       
                                 
              Minneapolis, MN  | 
              Aug 14, 2025 Q2 2025 | 
                 854,776 
                shares            
               | 
              
                 
                    $19.2 Million
                    0.0% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 23.27%
                                         
                 | 
              |
|               
                
   
      Klp Kapitalforvaltning As
       
                                 
              Oslo, Q8  | 
              Oct 23, 2025 Q3 2025 | 
                 847,627 
                shares            
               | 
              
                 
                    $19 Million
                    0.07% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 6.89%
                                         
                 | 
              |
|               
                
   
      Mackenzie Financial Corp
       
                                 
              Toronto Ontario, A6  | 
              Aug 13, 2025 Q2 2025 | 
                 843,971 
                shares            
               | 
              
                 
                    $18.9 Million
                    0.01% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 213.82%
                                         
                 | 
              |
|               
                
   
      Readystate Asset Management LP
       
                                 
              Chicago, IL  | 
              Aug 07, 2025 Q2 2025 | 
                 842,698 
                shares            
               | 
              
                 
                    $18.9 Million
                    0.3% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 65.21%
                                         
                 | 
              |
|               
                
   
      Pinnacle Associates LTD
      
   
                                 
               | 
              Aug 04, 2025 Q2 2025 | 
                 810,368 
                shares            
               | 
              
                 
                    $18.2 Million
                    0.14% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 19.46%
                                         
                 | 
              |
|               
                
   
      State Of New Jersey Common Pension Fund D
      
   
                                 
               | 
              Jul 31, 2025 Q2 2025 | 
                 808,789 
                shares            
               | 
              
                 
                    $18.2 Million
                    0.04% of portfolio                               
                         
                 | 
              
                 
                    Q1 2025
                      Reduced 8.99%
                                         
                 | 
              |
|               
                
   
      Polar Asset Management Partners Inc.
       
                                 
              Toronto, A6  | 
              Aug 14, 2025 Q2 2025 | 
                 801,300 
                shares            
               | 
              
                 
                    $18 Million
                    0.2% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      New holding
                                         
                 | 
              |
|               
                
   
      Tegean Capital Management, LLC
       
                                 
              New York, NY  | 
              Nov 13, 2023 Q3 2023 | 
                 800,000 
                shares            
               | 
              
                 
                    $18 Million
                    10.72% of portfolio                               
                         
                 | 
              
                 
                    Q2 2023
                      Reduced 9.79%
                                         
                 | 
              |
|               
                
   
      Sona Asset Management (Us) LLC
       
                                 
              New York, NY  | 
              Aug 14, 2025 Q2 2025 | 
                 774,700 
                shares            
               | 
              
                 
                    $17.4 Million
                    0.47% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      New holding
                                         
                 | 
              |
|               
                
   
      M&G PLC
       
                                 
              London, X0  | 
              Aug 08, 2025 Q2 2025 | 
                 739,336 
                shares            
               | 
              
                 
                    $16.6 Million
                    0.05% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 3.02%
                                         
                 | 
              |
|               
                
   
      State Of Tennessee, Treasury Department
       
                                 
              Nashville, TN  | 
              Aug 15, 2025 Q2 2025 | 
                 737,547 
                shares            
               | 
              
                 
                    $16.6 Million
                    0.03% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Reduced 4.89%
                                         
                 | 
              |
|               
                
   
      Cibc Asset Management Inc
       
                                 
              Toronto, A6  | 
              Oct 31, 2025 Q3 2025 | 
                 734,939 
                shares            
               | 
              
                 
                    $16.5 Million
                    0.05% of portfolio                               
                         
                 | 
              
                 
                    Q3 2025
                      Added 0.23%
                                         
                 | 
              |
|               
                
   
      Resona Asset Management Co.,Ltd.
       
                                 
              Koto Ku,Tokyo, M0  | 
              Oct 31, 2025 Q3 2025 | 
                 734,120 
                shares            
               | 
              
                 
                    $16.5 Million
                    0.07% of portfolio                               
                         
                 | 
              
                 
                    Q3 2025
                      Reduced 5.31%
                                         
                 | 
              |
|               
                
   
      Paul Tudor Jones                        
      Tudor Investment Corp Et Al | Stamford, Ct
   
                                 
               | 
              Aug 14, 2025 Q2 2025 | 
                 723,362 
                shares            
               | 
              
                 
                    $16.2 Million
                    0.02% of portfolio                               
                         
                 | 
              
                 
                    Q2 2025
                      Added 2996.32%
                                         
                 | 
              |
|               
                
   
      Arizona State Retirement System
      
   
                                 
               | 
              Nov 03, 2025 Q3 2025 | 
                 700,884 
                shares            
               | 
              
                 
                    $15.7 Million
                    0.08% of portfolio                               
                         
                 | 
              
                 
                    Q3 2025
                      Added 2.09%
                                         
                 |