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Old Republic International Corporation shares owned by Franklin Resources

Quarter-by-quarter ownership of Old Republic International Corporation (ORI) shares owned by Franklin Resources from 13F filings

Historical chart of Franklin Resources investment in Old Republic International Corporation

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All positions including Old Republic International Corporation held by Franklin Resources consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Old Republic International Corporation by Franklin Resources

Quarter filed Position value Share count Share price at filing
2024-03-31 $15M 490k 30.72
2023-12-31 $15M 510k 29.40
2023-09-30 $12M 444k 26.94
2023-06-30 $5.3M 210k 25.17
2023-03-31 $403k 16k 24.97
2022-12-31 $560k 23k 24.15
2022-09-30 $379k 21k 17.86
2022-06-30 $1.5M 65k 23.81
2022-03-31 $95M 3.5M 27.40
2021-12-31 $91M 3.7M 24.40
2021-09-30 $100M 4.3M 23.20
2021-06-30 $181M 7.3M 24.80
2021-03-31 $172M 7.8M 22.00
2020-12-31 $152M 7.8M 19.60
2020-09-30 $108M 7.3M 14.80
2020-06-30 $125M 7.1M 17.54
2020-03-31 $90M 5.9M 15.39
2019-12-31 $124M 5.5M 22.40
2019-09-30 $131M 5.6M 23.39
2019-06-30 $125M 5.5M 22.50
2019-03-31 $115M 5.5M 20.88
2018-12-31 $104M 5.0M 20.57
2018-09-30 $136M 6.1M 22.38
2018-06-30 $124M 6.2M 19.91
2018-03-31 $130M 6.0M 21.45
2017-12-31 $145M 6.8M 21.38
2017-09-30 $138M 7.0M 19.69
2017-06-30 $119M 6.1M 19.53
2017-03-31 $132M 6.4M 20.48
2016-12-31 $141M 7.4M 19.00
2016-09-30 $136M 7.7M 17.62
2016-06-30 $153M 7.9M 19.29
2016-03-31 $149M 8.1M 18.28
2015-12-31 $161M 8.7M 18.63
2015-09-30 $137M 8.8M 15.64
2015-06-30 $150M 9.6M 15.63
2015-03-31 $145M 9.7M 14.94
2014-12-31 $152M 10M 14.63
2014-09-30 $162M 11M 14.28
2014-06-30 $204M 12M 16.54
2014-03-31 $207M 13M 16.40
2013-12-31 $220M 13M 17.27
2013-09-30 $198M 13M 15.40
2013-06-30 $171M 13M 12.87
2013-03-31 $179M 14M 12.71
2012-12-31 $148M 14M 10.65
2012-09-30 $128M 14M 9.30
2012-06-30 $119M 14M 8.29
2012-03-31 $153M 15M 10.55
2011-12-31 $191M 21M 9.27
2011-09-30 $261M 29M 8.92
2011-06-30 $366M 31M 11.75
2011-03-31 $395M 31M 12.69
2010-12-31 $429M 32M 13.63