Crown Holdings logo

Crown Holdings

CCKNYSE

Crown Holdings is a packaging & containers company in the consumer cyclical sector on NYSE, led by Timothy J. Donahue, with a market cap of $11.1B. As of Q3 2025, 98% of shares are held by 601 institutional investors, with BlackRock, Inc. as the largest holder at 12.62%.

Chief Executive OfficerTimothy J. Donahue
Market Cap$11.1B
Packaging & Containers
Consumer Cyclical
Employees25.0K
Country
United States of America

Overview

Overview of institutional ownership in CCK as of Q3 2025 with a market cap of $11.2B

All Institutions

Institutions
601
Value Held
$11.0B
Shares Held
114.3M
Avg Position
$18.4M
Median Position
$1.2M

Hedge Funds

Hedge Funds
46
Value Held
$1.0B
Shares Held
10.7M
Avg Position
$22.4M
Median Position
$5.9M

Ownership Breakdown

Institutional (non-HF): 89.06%Institutional (non-HF)Hedge Funds: 9.16%Hedge FundsRetail & Other: 1.78%
Institutional (non-HF)
89.06%
$10.0B
Hedge Funds
9.16%
$1.0B
Retail & Other
1.78%
$199.7M

Based on market cap of $11.2B as of Q3 2025. Institutional (non-HF) excludes hedge funds to avoid double counting.

Biggest Investors

Institutions with the largest positions in CCK as of Q3 2025

InstitutionPosition Value
B
BlackRock, Inc.
Institution
$1.4B
0.03% of portfolio
$1.1B
0.02% of portfolio
FMR LLC logo
FMR LLC
Institution
$772.9M
0.04% of portfolio
$436.1M
0.02% of portfolio
$377.6M
0.24% of portfolio
AQR CAPITAL MANAGEMENT LLC logo
AQR CAPITAL MANAGEMENT LLC
Hedge FundMulti-Strategy
$333.2M
0.21% of portfolio
$287.8M
0.07% of portfolio
Invesco Ltd. logo
Invesco Ltd.
ETF Provider
$255.0M
0.04% of portfolio
S
Swedbank AB
Institution
$240.9M
0.24% of portfolio
$202.7M
0.01% of portfolio

Net Capital Flow

Institutional buying and selling activity for CCK in Q3 2025

Traded
+$346.4M
Buyers
326
Sellers
263
Total Bought
+$1.3B
Total Sold
$919.0M
Avg Position
$16.5M

Biggest Buyers

InstitutionNet Bought
S
Swedbank AB
Institution
+$174.4M
+1.8M shares
+$98.8M
+1.0M shares
AQR CAPITAL MANAGEMENT LLC logo
AQR CAPITAL MANAGEMENT LLC
Hedge FundMulti-Strategy
+$89.7M
+933.9K shares
MORGAN STANLEY logo
MORGAN STANLEY
RIA/Wealth
+$47.8M
+494.7K shares
+$43.4M
+449.5K shares
+$37.2M
+384.9K shares
+$36.9M
+381.8K shares
+$33.5M
+347.2K shares
TWO SIGMA INVESTMENTS LLC logo
TWO SIGMA INVESTMENTS LLC
Hedge FundMulti-Strategy
+$28.1M
+290.8K shares
+$27.4M
+284.1K shares

Biggest Sellers

InstitutionNet Sold
$170.6M
1.8M shares
$99.9M
1.0M shares
$89.9M
930.2K shares
BALYASNY ASSET MANAGEMENT LLC logo
BALYASNY ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
$59.4M
576.4K shares
FMR LLC logo
FMR LLC
Institution
$29.3M
303.6K shares
S
SCOPUS ASSET MANAGEMENT, L.P.
Hedge FundLong/Short
$27.0M
280.0K shares
S
Squarepoint Ops LLC
Hedge FundQuant
$24.1M
249.8K shares
B
BlackRock, Inc.
Institution
$23.2M
240.6K shares
$20.9M
216.8K shares
Woodline Partners LP logo
Woodline Partners LP
Hedge FundLong/Short
$16.4M
169.4K shares

Entry and Exit Activity

Institutions that initiated new positions or completely exited CCK in Q3 2025

New Positions
37
New Value
$39.9M
Exited Positions
68
Exited Value
$173.8M

New Positions

InstitutionPosition Value
$11.6M
120.5K shares
$10.6M
109.4K shares
$4.2M
43.8K shares
$3.5M
36.4K shares
$2.9M
29.5K shares
$907.4K
9.4K shares
$806.1K
8.3K shares
$696.2K
7.1K shares
$687.7K
7.1K shares
$672.5K
7.0K shares

Exited Positions

InstitutionPrevious Position
BALYASNY ASSET MANAGEMENT LLC logo
BALYASNY ASSET MANAGEMENT LLC
Hedge FundMulti-Strategy
$59.4M
576.4K shares
$12.4M
120.0K shares
C
Concentric Capital Strategies, LP
Hedge FundLong/Short
$10.5M
101.8K shares
Night Squared LP logo
Night Squared LP
Hedge FundLong/Short
$10.0M
96.8K shares
UBS OCONNOR LLC logo
UBS OCONNOR LLC
Long Only Manager
$9.0M
87.3K shares
$8.1M
78.5K shares
Point72 Asset Management, L.P. logo
Point72 Asset Management, L.P.
Hedge FundMulti-Strategy
$7.9M
77.2K shares
$7.3M
70.4K shares
$7.2M
69.7K shares
$5.8M
56.3K shares

Options Activity

Institutions with the largest Call and Put options positions in CCK as of Q3 2025

Call Positions
8
Call Value
$20.0M
Put Positions
7
Put Value
$40.1M

Call Positions

InstitutionPosition Value
$8.6M
887.0 contracts
T
Twin Tree Management, LP
Hedge FundVol Arbitrage
$3.3M
341.0 contracts
CITADEL ADVISORS LLC logo
CITADEL ADVISORS LLC
Hedge FundMulti-Strategy
$3.1M
316.0 contracts
Caption Management, LLC logo
Caption Management, LLC
Hedge FundLong/Short
$2.7M
277.0 contracts
Point72 Asset Management, L.P. logo
Point72 Asset Management, L.P.
Hedge FundMulti-Strategy
$1.6M
167.0 contracts
$502.3K
52.0 contracts
$309.0K
32.0 contracts
$9.7K
1.0 contracts

Put Positions

InstitutionPosition Value
BARCLAYS PLC logo
BARCLAYS PLC
Institution
$28.8M
3.0K contracts
$3.4M
355.0 contracts
$2.7M
282.0 contracts
Point72 Asset Management, L.P. logo
Point72 Asset Management, L.P.
Hedge FundMulti-Strategy
$2.3M
239.0 contracts
CITADEL ADVISORS LLC logo
CITADEL ADVISORS LLC
Hedge FundMulti-Strategy
$1.9M
197.0 contracts
S
Squarepoint Ops LLC
Hedge FundQuant
$627.8K
65.0 contracts
$241.5K
25.0 contracts

Most Committed Institutions

Institutions with CCK as the highest % of their portfolio as of Q3 2025

InstitutionPortfolio Weight
M
10.73%
$29.9M
6.93%
$30.4M
6.43%
$51.5M
5.97%
$6.1M
M
Metropolis Capital Ltd
Long Only Manager
4.20%
$133.7M
2.57%
$5.5M
2.26%
$28.7M
IRIDIAN ASSET MANAGEMENT LLC/CT logo
IRIDIAN ASSET MANAGEMENT LLC/CT
Hedge FundLong/Short
2.15%
$5.5M
1.93%
$30.2M
1.78%
$3.8M

Hedge Fund Spotlight

Discover hedge funds investing in CCK

Verition Fund Management LLC logo
Verition Fund Management LLC
Hedge FundMulti-Strategy
Portfolio ManagerNicholas Matthew Maounis
Portfolio Value
$16.7B
Positions
2,759
Last Reported
Q3 2025
AddressGreenwich, CT
Sector Allocation
Financial Services: 14.90%Financial ServicesTechnology: 14.70%TechnologyConsumer Cyclical: 11.70%Consumer CyclicalETF: 11.40%ETFIndustrials: 11.00%IndustrialsHealthcare: 5.80%Consumer Defensive: 4.20%Communication Services: 4.10%Energy: 4.10%Utilities: 4.00%Real Estate: 3.50%Basic Materials: 3.20%
Crown Holdings logo

Position in Crown Holdings

Market Value
$7.6M
Shares Held
78.2K
Portfolio Weight
0.05%
Owned Since
2016-Q2
Top HoldingSectorMarket ValueWeight
ETF
ETF
$1.0B6.02%
2
Nvidia logo
Nvidia
NVDA
Semiconductors
Technology
$544.1M3.25%
ETF
ETF
$281.5M1.68%

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