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Powerschool Holdings, Inc.

PWSCDelisted Oct 1, 2024
Industry
Services-Prepackaged Software
SEC CIK
0001835681

Powerschool Holdings, Inc. was delisted on Oct 1, 2024; its insiders filed their last Form 4 on Oct 3, 2024; 135 institutions reported holding it in 13F filings for Q3 2024, worth $2.86B in total; no superinvestor held it.

13F holders, Q3 2021

Institutional positions in Powerschool Holdings, Inc. as of Sep 30, 2021. Investment managers with $100 million or more in US stocks report their long positions on Form 13F within 45 days after each quarter ends. How 13F works

Institutional holders
73
+73 vs. Q2 2021
Shares held
123.7M
+123.7M vs. Q2 2021
Total value
$3.04B
+$3.04B vs. Q2 2021
New holders
73
0 more added
Sold out
0
0 more reduced

Compare with Q2 2021: new holders, sold out and not filed yet

Holders and value by quarter

Institutions reporting PWSC on Form 13F each quarter since Q1 2021, and the total value they reported. Values are as of each quarter end, so they also move with the share price.

Institutional holdersQ3 2021: 73 institutions
Q1 2021: 0 institutionsQ2 2021: 0 institutionsQ3 2021: 73 institutionsQ4 2021: 77 institutionsQ1 2022: 94 institutionsQ2 2022: 98 institutionsQ3 2022: 111 institutionsQ4 2022: 122 institutionsQ1 2023: 161 institutionsQ2 2023: 145 institutionsQ3 2023: 156 institutionsQ4 2023: 171 institutionsQ1 2024: 192 institutionsQ2 2024: 191 institutionsQ3 2024: 135 institutionsQ4 2024: 1 institutionQ1 2025: 1 institutionQ2 2025: 1 institutionQ3 2025: 1 institutionQ4 2025: 1 institutionQ1 2026: 1 institutionQ2 2026: 1 institution
Value heldQ3 2021: $3.04B
Q1 2021: $0Q2 2021: $0Q3 2021: $3.04BQ4 2021: $2.04BQ1 2022: $2.01BQ2 2022: $1.49BQ3 2022: $2.04BQ4 2022: $2.86BQ1 2023: $2.50BQ2 2023: $2.52BQ3 2023: $3.14BQ4 2023: $3.28BQ1 2024: $2.95BQ2 2024: $3.07BQ3 2024: $2.86BQ4 2024: $23Q1 2025: $23Q2 2025: $23Q3 2025: $23Q4 2025: $23Q1 2026: $23Q2 2026: $23
Institutions holding PWSC and their total value by quarter
QuarterHoldersValue
Q2 20261$23
Q1 20261$23
Q4 20251$23
Q3 20251$23
Q2 20251$23
Q1 20251$23
Q4 20241$23
Q3 2024135$2.86B
Q2 2024191$3.07B
Q1 2024192$2.95B
Q4 2023171$3.28B
Q3 2023156$3.14B
Q2 2023145$2.52B
Q1 2023161$2.50B
Q4 2022122$2.86B
Q3 2022111$2.04B
Q2 202298$1.49B
Q1 202294$2.01B
Q4 202177$2.04B
Q3 202173$3.04B
Q2 20210$0
Q1 20210$0

Institutions, Q3 2021

Shares, value and share of portfolio for each institution holding Powerschool Holdings, Inc.; share changes are against Q2 2021.

Institutions holding PWSC in Q3 2021
InstitutionSharesValue% of portfolioChange in sharesAction
Wells Fargo & Company232$6.00K0.00%+232New
Dark Forest Capital Management LP254$6.00K0.00%+254New
Signaturefd, LLC500$12.0K0.00%+500New
Quantbot Technologies LP900$22.0K0.00%+900New
Private Capital Group, LLC980$24.0K0.01%+980New
Advisor Group Holdings, Inc.1,366$34.0K0.00%+1,366New
UBS Group AG1,500$37.0K0.00%+1,500New
Tower Research Capital LLC (TRC)2,852$70.0K0.00%+2,852New
Ameritas Investment Partners, Inc.3,302$81.0K0.00%+3,302New
Legal & General Group Plc3,629$89.0K0.00%+3,629New
Point72 Hong Kong Ltd5,555$137.0K0.01%+5,555New
Royal Bank of Canada5,620$139.0K0.00%+5,620New
Citigroup Inc7,231$178.0K0.00%+7,231New
Morgan Stanley8,354$206.0K0.00%+8,354New
Jane Street Group, LLC9,110$224.0K0.00%+9,110New
STRS Ohio9,900$243.0K0.00%+9,900New
HSBC Holdings PLC9,901$246.0K0.00%+9,901New
Jefferies Group LLC10,000$246.1K0.01%+10,000New
Caption Management, LLC11,100$273.0K0.02%+11,100New
Metropolitan Life Insurance Co11,838$291.3K0.00%+11,838New
Paloma Partners Management Co11,984$295.0K0.01%+11,984New
Bank of Montreal12,001$306.0K0.00%+12,001New
Invesco Ltd.15,228$375.0K0.00%+15,228New
MetLife Investment Management15,647$385.1K0.00%+15,647New
Voya Investment Management LLC15,955$393.0K0.00%+15,955New
JPMorgan Chase & Co21,194$521.0K0.00%+21,194New
Manufacturers Life Insurance Company, The22,469$553.0K0.00%+22,469New
Bank of America Corp22,581$555.0K0.00%+22,581New
California State Teachers Retirement System23,272$573.0K0.00%+23,272New
American International Group, Inc.23,574$580.0K0.00%+23,574New
Verition Fund Management LLC24,348$599.0K0.01%+24,348New
Deutsche Bank AG24,776$610.0K0.00%+24,776New
SG Americas Securities, LLC25,898$637.0K0.00%+25,898New
Los Angeles Capital Management LLC27,050$666.0K0.00%+27,050New
New York State Common Retirement Fund30,100$741.0K0.00%+30,100New
Engineers Gate Manager LP33,632$828.0K0.05%+33,632New
Alliancebernstein L.P.43,600$1.07M0.00%+43,600New
Rhumbline Advisers51,546$1.27M0.00%+51,546New
Cubist Systematic Strategies, LLC66,818$1.64M0.02%+66,818New
SEI Investments Co76,300$1.88M0.00%+76,300New
Susquehanna International Group, LLP126,092$3.10M0.00%+126,092New
Bank of New York Mellon Corp137,004$3.37M0.00%+137,004New
Amundi150,508$3.70M0.00%+150,508New
Rokos Capital Management LLP150,000$3.71M0.56%+150,000New
Two Sigma Investments, LP151,459$3.73M0.01%+151,459New
Ami Asset Management Corp160,084$3.94M0.20%+160,084New
Nuveen Asset Management, LLC161,283$4.04M0.00%+161,283New
Goldman Sachs Group Inc169,996$4.18M0.00%+169,996New
Caas Capital Management LP200,000$4.92M0.37%+200,000New
Ghisallo Capital Management LLC200,000$4.92M0.19%+200,000New
Citadel Advisors LLC257,430$6.33M0.01%+257,430New
Ameriprise Financial Inc281,609$6.93M0.00%+281,609New
Charles Schwab Investment Management Inc283,147$6.97M0.00%+283,147New
First Trust Advisors LP356,045$8.76M0.01%+356,045New
Northern Trust Corp375,456$9.24M0.00%+375,456New
Artemis Investment Management LLP390,739$9.62M0.08%+390,739New
Millennium Management LLC399,060$9.82M0.01%+399,060New
Alyeska Investment Group, L.P.400,000$9.84M0.12%+400,000New
Credit Suisse AG478,486$11.8M0.01%+478,486New
D. E. Shaw & Co., Inc.480,920$11.8M0.02%+480,920New
Norges Bank585,042$14.4M0.00%+585,042New
Geode Capital Management, LLC651,995$16.0M0.00%+651,995New
State Street Corp653,286$16.1M0.00%+653,286New
Wellington Management Group LLP860,500$21.2M0.00%+860,500New
Teacher Retirement System of Texas2,009,000$49.4M0.27%+2,009,000New
TimesSquare Capital Management, LLC2,156,685$53.1M0.46%+2,156,685New
Capital Research Global Investors2,250,000$55.4M0.01%+2,250,000New
BlackRock Inc.2,763,489$68.0M0.00%+2,763,489New
Vanguard Group Inc4,045,181$99.6M0.00%+4,045,181New
Windacre Partnership LLC5,544,000$136.4M3.04%+5,544,000New
Select Equity Group, L.P.9,671,891$238.0M0.80%+9,671,891New
Canada Pension Plan Investment Board11,111,111$273.4M0.31%+11,111,111New
Vista Equity Partners Management, LLC75,413,862$1.86B17.93%+75,413,862New