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IHS Holding Limited (IHS)

USD8.18 -0.03 (-0.37%)
GB NYSE Communication Services Telecommunications Services
Address 1 Cathedral Piazza SW1E 5BP
London, GB
CEO Sam Darwish
IPO 2021-10-14
CIK 1876183 ISIN KYG4701H1092

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Description

IHS Holding Limited, through its subsidiaries, is a leading provider in the telecommunications industry, specializing in the ownership, operation, and development of shared infrastructure across a wide geographic footprint including Africa, Latin America, Europe, and the Middle East. The company offers a comprehensive array of services, such as colocation and leasing options, bespoke build-to-suit solutions, advanced fiber connectivity, and dedicated rural telephony initiatives. Its diverse clientele includes mobile network operators, internet service providers, broadcasters, security agencies, and various private corporations. Founded in 2001, IHS Holding Limited's corporate base is located in London, United Kingdom.

Market Cap & Enterprise Value
Merger & Acquisition History

No mergers or acquisitions recorded for this company.

Technical Outlook
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Signal Summary Loading…
Indicator 1D1W2W3W1M
Each column is computed on that timeframe's candles (1D = daily, 1W ≈ weekly, 1M ≈ monthly), not on the same last day. ▲ bullish · ▼ bearish · — neutral. The Net row counts signals per column; hover any cell (or the indicator name) to see the exact rule behind it.
Day Score & sub-scores
Statistical fingerprint & regime detail
Conditional historical analysis
Customize analysis (advanced)
Indicative levels generated algorithmically. Not financial advice.
Risk Profile
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Price Chart
Averages
Trend
Price
Levels
Draw
USD8.18 -0.03 (-0.37%)
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Volume Profile
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Liquidity & share structure
Average Volume
1M
Beta
0.74
Float Shares
165.07M
Free Float %
49.2%
Price Performance
1D5D1M3M6M YTD1Y3Y5Y10YMax
-0.36% -1.19% +1.10% +3.75% +16.90% +11.26% +49.55% +2.85% -51.18% -51.18% -51.18%
Rolling Volatility
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Drawdown
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Relative Strength
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Monthly Returns Heatmap
From To
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Annual Monthly Returns
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Daily Returns Distribution
vs.
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Revenue flow

Revenue by geography

Revenue by segment

From To

Revenue composition

From To

By product

By geography

Financial Statements

Income Statement

Balance Sheet

Cash Flow Statement

Key Metrics

Financial Ratios

Employees

Financial Growth (CAGR)

Market Data

Analyst Consensus (21 ratings, all time) Buy
Price Targets & DCF
Current price
8.18
Low 8.50 +3.9%
Consensus 8.50 +3.9%
Median 8.50 +3.9%
High 8.50 +3.9%
DCF (Levered) 9.79 +19.7%

DCF figures are point estimates: small changes in growth or discount-rate assumptions move them materially. Read them as a reference, not a precise target.

Ratings Trend (MoM) 60% Bullish
Rating 2026-05 Change
Strong Buy 2 0
Buy 1 0
Hold 2 0
Sell 0 0
Strong Sell 0 0
Price Target Summary
Period # Analysts Avg Target
Last Month
Last Quarter
Last Year 1
8.50
+3.9%
All Time 8
13.06
+59.7%
Quality scores
Altman Z-Score
-0.53
Distress
Piotroski F-Score
7 / 9
Strong
MOAT Score
3 / 10
No MOAT
Composite Rating
C+
Overall Score
2 / 5
Medium
DCF Score
3 / 5
Medium
ROE Score
1 / 5
Low
ROA Score
4 / 5
High
D/E Score
1 / 5
Low
P/E Score
2 / 5
Medium
P/Book Score
1 / 5
Low
Operational MOAT
✗ Below peers
  • Revenue growth Telecommunications Services: +7.0%
    -7.6% Q1'26: -5.5% (vs Q1'25)
  • EPS growth Telecommunications Services: +15.8%
    +108.6% Q1'26: +120.0% (vs Q1'25)
  • FCF margin FCF growth · Telecommunications Services: +29.4%
    +0.3% Q1'26: +38.3% (vs Q1'25)
  • EBIT margin Telecommunications Services: +14.7%
    +16.8% Q1'26: +28.9% (vs Q1'25)
  • ROIC Telecommunications Services: +6.4%
    +9.0% Q1'26: +11.3% (vs Q1'25)
  • Share dilution Telecommunications Services: +0.0%
    +2.6% Q1'26: +3.7% (vs Q1'25)
  • Debt / EBITDA Net debt/EBITDA · Telecommunications Services: 1.26×
    5.42× Q1'26: 4.95× (vs Q1'25)
Valuation Multiples From To
Price Forecast (3Y) From To
Model
Adjust
P/E
Theoretical Return — If Invested Today

* These projections are based on analyst consensus estimates and user-defined valuation multiples. This table is for informational purposes only and does not constitute a recommendation to buy or sell any security. Past performance is not indicative of future results.

DCF Interactive Model (UFCF)
Projection years:
Market assumptions
WACC components (optional)
Ke (Cost of Equity) = Rf + β (0.74) × ERP
WACC = 45% × Ke + 55% × Kd (9.0%) × (1−t)

Modifying these values recalculates WACC automatically.

Business assumptions
Current price: 8.18
Enterprise Value: Equity Value: Terminal Value: TV as % of EV:

Base values reflect the latest available data for this company and market conditions.

Consensus Estimates
Metric Dec 2021
actual
Dec 2022
actual
Dec 2023
actual
Dec 2024
actual
Dec 2025
actual
Dec 2026
1 Rev. Ana.
1 EPS Ana.
Dec 2027
2 Rev. Ana.
2 EPS Ana.
Dec 2028
2 Rev. Ana.
2 EPS Ana.
Dec 2029
1 Rev. Ana.
1 EPS Ana.
Dec 2030
1 Rev. Ana.
1 EPS Ana.
Revenue
1.58B
est: 1.57B (+0.9%)
1.96B
est: 1.92B (+2.0%)
2.13B
est: 1.83B (+16.2%)
1.71B
est: 1.70B (+0.9%)
1.58B
est: 1.75B (-9.6%)
1.80B
1.77B – 1.83B
+2.9% YoY
1.99B
1.96B – 2.02B
+10.3% YoY
2.13B
2.10B – 2.16B
+7.3% YoY
2.17B
2.14B – 2.21B
+1.9% YoY
2.33B
2.29B – 2.36B
+7.2% YoY
EBITDA
591.49M
est: -30.50M (+2,039.6%)
252.65M
est: -37.42M (+775.2%)
-998.47M
est: -7.85M (-12,612.2%)
-794.75M
est: -7.28M (-10,819.9%)
647.80M
est: -7.51M (+8,722.5%)
-7.73M
-7.85M – -7.61M
-2.9% YoY
-8.53M
-8.66M – -8.39M
-10.3% YoY
-9.14M
-9.26M – -9.03M
-7.3% YoY
-9.32M
-9.47M – -9.18M
-1.9% YoY
-9.99M
-10.15M – -9.84M
-7.2% YoY
EBIT
208.61M
est: -403.16M (+151.7%)
-216.26M
est: -494.71M (+56.3%)
-1.43B
est: -424.94M (-237.5%)
-1.16B
est: -393.76M (-194.0%)
266.10M
est: -406.47M (+165.5%)
-418.08M
-424.58M – -411.57M
-2.9% YoY
-461.24M
-468.42M – -454.06M
-10.3% YoY
-494.75M
-500.96M – -488.54M
-7.3% YoY
-504.34M
-512.19M – -496.49M
-1.9% YoY
-540.61M
-549.02M – -532.19M
-7.2% YoY
Net Income
-25.83M
est: 34.77M (-174.3%)
-459.01M
est: -189.99M (-141.6%)
-1.98B
est: -2.46B (+19.5%)
-1.63B
est: -1.92B (+14.9%)
143.60M
est: 245.04M (-41.4%)
367.43M
364.85M – 379.92M
+49.9% YoY
440.71M
431.80M – 449.63M
+19.9% YoY
368.70M
323.29M – 674.29M
-16.3% YoY
286.98M
281.17M – 292.78M
-22.2% YoY
334.80M
328.03M – 341.58M
+16.7% YoY
SGA
241.83M
est: 251.49M (-3.8%)
286.77M
est: 308.60M (-7.1%)
421.44M
est: 399.01M (+5.6%)
302.53M
est: 369.73M (-18.2%)
657.90M
est: 381.66M (+72.4%)
392.56M
386.45M – 398.67M
+2.9% YoY
433.09M
426.35M – 439.83M
+10.3% YoY
464.56M
458.73M – 470.39M
+7.3% YoY
473.56M
466.19M – 480.93M
+1.9% YoY
507.62M
499.71M – 515.52M
+7.2% YoY
EPS
-0.08
est: 0.10 (-176.3%)
-1.42
est: -0.57 (-149.5%)
-5.93
est: -7.19 (+17.5%)
-4.90
est: -5.61 (+12.7%)
0.43
est: 0.72 (-40.0%)
1.09
1.07 – 1.11
+52.0% YoY
1.29
1.26 – 1.32
+18.3% YoY
1.46
0.95 – 1.97
+13.2% YoY
0.84
0.82 – 0.86
-42.5% YoY
0.98
0.96 – 1.00
+16.7% YoY
Historical Ratings (3M)
Date Rating Overall DCF ROE ROA D/E P/E P/B
2026-05-28 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-27 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-26 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-22 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-21 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-20 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-19 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-18 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-15 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-14 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-13 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-12 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-11 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-08 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-07 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-06 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-05 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-04 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-05-01 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-30 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-29 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-28 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-27 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-24 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-23 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-22 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-21 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-20 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-17 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5
2026-04-16 C+ 2/5 3/5 1/5 4/5 1/5 2/5 1/5

Owner Earnings

Owner's Earnings (history) From To
Owner alignment
Owner's Earnings TTM
388.88M
OE per share TTM
1.11
Owner's Yield
13.96%
Maintenance CapEx ratio
102.40%
Maint CapEx / Avg PPE
129.0%

Ownership Overview

Ownership breakdown
At a glance
Institutional holders
149
Total invested
1.31B
Insider transactions (90d)
0
Beneficial owners (>5%)
9
Beneficial owners (>5%)
# Reporting person Amount owned % of class Sole voting Shared voting Sole dispositive Shared dispositive Type Citizenship Filing date SEC filing
1 Wendel SE 75.35M 23.00% 75.35M PN France 2022-02-14
2 Manager LP 45.51M 13.90% 40.2K 45.47M 40.2K 45.47M PN Delaware 2022-02-15
3 Oranje-Nassau Développement S.C.A. FIAR 44.71M 13.60% 44.71M PN France 2022-02-14
4 Africa Telecom Towers S.C.S 30.64M 9.30% 30.64M PN France 2022-02-14
5 Three Limited 25.41M 7.80% 25.41M 25.41M CO of Mauritius 2022-02-15
6 Investment Corporation 21.67M 6.60% 21.67M 21.67M CO of Korea 2022-02-15
7 Investment Pte Ltd. 18.06M 5.50% 18.06M 18.06M CO 2022-02-15
8 Investments Private Limited 18.06M 5.50% 18.06M 18.06M CO 2022-02-15
9 Limited 18.06M 5.50% 18.06M 18.06M CO 2022-02-15

Institutional Activity (13F)

Institutional ownership trend From To
13F snapshot — 2026 Q1
Investors holding
149
+15 vs prev Q
New positions
46
Closed positions
29
Increased
81
Reduced
41
Put/Call ratio
0.41
Calls held
83.8K
Puts held
34.5K
Top institutional holders
# Investor Shares / Δ Mkt value / Δ Own% / Δ Weight% / Δ Avg px / Perf. Hold / Status
1 155.0K +155.0K (+100.0%) 1.16B +1.2B (+100.0%) 0.05% +0.045 pp 0.32% +0.316 pp USD7.46 +0.0% 1 qtrs NEW
2 DUMAC, INC. 112.0K +112.0K (+100.0%) 835.52M +835.5M (+100.0%) 0.03% +0.033 pp 0.13% +0.128 pp USD7.46 +0.0% 1 qtrs NEW
3 WENDEL SE 62.98M +— (+0.0%) 469.80M +40.3M (+9.4%) 18.35% -1.218 pp 100.00% +0.000 pp USD5.22 +42.9% 4 qtrs
4 KOREA INVESTMENT CORP 21.67M +— (+0.0%) 161.63M +13.9M (+9.4%) 6.31% -0.419 pp 0.32% +0.014 pp USD6.15 +21.3% 13 qtrs
5 HELIKON INVESTMENTS LTD 8.78M +3.9M (+81.2%) 65.50M +32.5M (+98.2%) 2.56% +1.053 pp 3.47% +1.213 pp USD6.71 +11.2% 4 qtrs
6 QUAKER CAPITAL INVESTMENTS, LLC 4.68M +314.5K (+7.2%) 34.94M +5.1M (+17.3%) 1.36% +0.007 pp 9.01% +0.994 pp USD4.74 +57.4% 12 qtrs
7 MILLENNIUM MANAGEMENT LLC 3.51M -181.2K (-4.9%) 26.20M +1.0M (+4.0%) 1.02% -0.124 pp 0.01% +0.000 pp USD4.74 +57.4% 12 qtrs
8 JPMORGAN CHASE & CO 3.32M +21.5K (+0.7%) 24.78M +2.3M (+10.1%) 0.97% -0.058 pp 0.00% +0.000 pp USD4.65 +60.4% 6 qtrs
9 BNP PARIBAS ARBITRAGE, SNC 2.54M +42.4K (+1.7%) 18.95M +1.9M (+11.2%) 0.74% -0.036 pp 0.01% -0.001 pp USD5.52 +35.1% 5 qtrs
10 SIREN, L.L.C. 2.36M +— (+0.0%) 17.59M +1.5M (+9.4%) 0.69% -0.046 pp 0.52% -0.104 pp USD2.99 +149.5% 6 qtrs
11 MORGAN STANLEY 2.35M +255.4K (+12.2%) 17.51M +3.2M (+22.7%) 0.68% +0.034 pp 0.00% +0.000 pp USD5.40 +38.1% 17 qtrs
12 ABRDN PLC 2.23M -155.2K (-6.5%) 16.65M +704.3K (+4.4%) 0.65% -0.091 pp 0.03% +0.001 pp USD3.49 +113.8% 14 qtrs
13 ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 1.82M +260.6K (+16.7%) 13.56M +2.9M (+27.7%) 0.53% +0.046 pp 0.01% +0.001 pp USD6.10 +22.3% 4 qtrs
14 SONA ASSET MANAGEMENT (US) LLC 1.55M -250.0K (-13.9%) 11.58M -711.3K (-5.8%) 0.45% -0.108 pp 0.26% -0.036 pp USD4.11 +81.5% 15 qtrs
15 BANK OF AMERICA CORP /DE/ 1.42M +1.2M (+588.0%) 10.61M +9.2M (+652.6%) 0.41% +0.350 pp 0.00% +0.001 pp USD7.12 +4.8% 15 qtrs
16 ACADIAN ASSET MANAGEMENT LLC 1.40M +225.5K (+19.1%) 10.46M +2.4M (+30.4%) 0.41% +0.043 pp 0.02% +0.003 pp USD5.90 +26.4% 5 qtrs
17 RENAISSANCE TECHNOLOGIES LLC 1.40M +240.1K (+20.7%) 10.45M +2.5M (+32.0%) 0.41% +0.048 pp 0.02% +0.006 pp USD5.64 +32.3% 17 qtrs
18 CHARLES SCHWAB INVESTMENT MANAGEMENT INC 1.34M +307.1K (+29.8%) 9.97M +2.9M (+42.0%) 0.39% +0.070 pp 0.00% +0.000 pp USD6.12 +21.9% 4 qtrs
19 TWO SIGMA INVESTMENTS, LP 1.05M -3.6K (-0.3%) 7.85M +648.7K (+9.0%) 0.31% -0.022 pp 0.01% +0.000 pp USD5.22 +42.9% 6 qtrs
20 MARSHALL WACE, LLP 1.05M -440.3K (-29.5%) 7.84M -2.3M (-22.9%) 0.31% -0.157 pp 0.01% -0.003 pp USD5.35 +39.4% 11 qtrs
21 TWO SIGMA ADVISERS, LP 1.01M +102.7K (+11.3%) 7.52M +1.3M (+21.8%) 0.29% +0.012 pp 0.01% +0.002 pp USD6.02 +23.9% 5 qtrs
22 CITADEL ADVISORS LLC 714.5K -104.2K (-12.7%) 5.33M -253.3K (-4.5%) 0.21% -0.046 pp 0.00% +0.000 pp USD4.63 +61.1% 13 qtrs
23 BTG PACTUAL ASSET MANAGEMENT US LLC 578.3K +113.8K (+24.5%) 4.31M +1.1M (+36.2%) 0.17% +0.024 pp 0.42% +0.272 pp USD6.95 +7.3% 2 qtrs
24 WEXFORD CAPITAL LP 498.1K +249.2K (+100.1%) 3.72M +2.0M (+118.9%) 0.15% +0.068 pp 0.72% +0.473 pp USD7.14 +4.5% 2 qtrs
25 D. E. SHAW & CO., INC. 430.0K +29.1K (+7.3%) 3.21M +473.9K (+17.3%) 0.13% +0.001 pp 0.00% +0.000 pp USD4.91 +51.9% 6 qtrs
26 GOLDMAN SACHS GROUP INC 421.0K +147.5K (+53.9%) 3.14M +1.3M (+68.4%) 0.12% +0.038 pp 0.00% +0.000 pp USD5.34 +39.7% 17 qtrs
27 QUBE RESEARCH & TECHNOLOGIES LTD 389.0K +123.7K (+46.6%) 2.90M +1.1M (+60.4%) 0.11% +0.031 pp 0.00% +0.001 pp USD6.52 +14.4% 3 qtrs
28 GSA CAPITAL PARTNERS LLP 374.4K +110.5K (+41.9%) 2.79M +994.0K (+55.3%) 0.11% +0.027 pp 0.24% +0.091 pp USD6.09 +22.5% 4 qtrs
29 BLACKROCK, INC. 365.4K +18.8K (+5.4%) 2.73M +362.1K (+15.3%) 0.11% -0.001 pp 0.00% +0.000 pp USD3.42 +118.1% 6 qtrs
30 UBS GROUP AG 355.6K +49.2K (+16.1%) 2.65M +563.4K (+27.0%) 0.10% +0.008 pp 0.00% +0.000 pp USD5.38 +38.7% 17 qtrs
31 HOLLOW BROOK WEALTH MANAGEMENT LLC 333.7K -38.2K (-10.3%) 2.49M -46.6K (-1.8%) 0.10% -0.018 pp 0.64% +0.044 pp USD5.57 +33.9% 3 qtrs
32 EMPOWERED FUNDS, LLC 313.3K +313.3K (+100.0%) 2.34M +2.3M (+100.0%) 0.09% +0.091 pp 0.02% +0.019 pp USD7.46 +0.0% 1 qtrs NEW
33 HRT FINANCIAL LP 306.9K -55.4K (-15.3%) 2.29M -181.0K (-7.3%) 0.09% -0.023 pp 0.01% -0.002 pp USD5.70 +30.9% 4 qtrs
34 LAZARD ASSET MANAGEMENT LLC 258.6K +258.6K (+100.0%) 1.93M +1.9M (+100.0%) 0.08% +0.075 pp 0.00% +0.003 pp USD7.46 +0.0% 1 qtrs NEW
35 PATHSTONE HOLDINGS, LLC 253.0K -132.2K (-34.3%) 1.89M -739.6K (-28.1%) 0.07% -0.046 pp 0.01% -0.003 pp USD4.31 +73.1% 9 qtrs
36 ALLIANZ ASSET MANAGEMENT GMBH 249.1K +90.2K (+56.8%) 1.86M +774.8K (+71.5%) 0.07% +0.023 pp 0.00% +0.001 pp USD6.80 +9.7% 3 qtrs
37 TUDOR INVESTMENT CORP ET AL 244.4K +— (+0.0%) 1.82M +156.4K (+9.4%) 0.07% -0.005 pp 0.00% +0.001 pp USD5.22 +42.9% 4 qtrs
38 Y-INTERCEPT (HONG KONG) LTD 186.9K +113.6K (+155.1%) 1.39M +894.7K (+179.0%) 0.05% +0.032 pp 0.03% +0.019 pp USD6.93 +7.6% 3 qtrs
39 POINT72 ASSET MANAGEMENT, L.P. 185.7K -150.3K (-44.7%) 1.39M -906.0K (-39.5%) 0.05% -0.050 pp 0.00% -0.002 pp USD6.34 +17.7% 3 qtrs
40 SQUAREPOINT OPS LLC 180.4K +13.6K (+8.2%) 1.35M +208.4K (+18.3%) 0.05% +0.001 pp 0.00% +0.000 pp USD6.36 +17.3% 7 qtrs
41 GENERALI ASSET MANAGEMENT SPA SGR 180.0K +— (+0.0%) 1.34M +115.2K (+9.4%) 0.05% -0.004 pp 0.03% +0.001 pp USD2.92 +155.5% 5 qtrs
42 ENGINEERS GATE MANAGER LP 171.7K -15.6K (-8.3%) 1.28M +3.5K (+0.3%) 0.05% -0.008 pp 0.02% +0.001 pp USD4.86 +53.5% 5 qtrs
43 INSPIRE INVESTING, LLC 171.3K +171.3K (+100.0%) 1.28M +1.3M (+100.0%) 0.05% +0.050 pp 0.12% +0.115 pp USD7.46 +0.0% 1 qtrs NEW
44 JANE STREET GROUP, LLC 165.9K -102.7K (-38.2%) 1.24M -594.4K (-32.5%) 0.05% -0.035 pp 0.00% 0.000 pp USD6.48 +15.1% 15 qtrs
45 GREENLAND CAPITAL MANAGEMENT LP 157.5K -102.3K (-39.4%) 1.17M -597.0K (-33.7%) 0.05% -0.035 pp 0.12% -0.053 pp USD5.94 +25.6% 5 qtrs
46 PDT PARTNERS, LLC 155.4K +— (+0.0%) 1.16M +99.5K (+9.4%) 0.05% -0.003 pp 0.08% +0.008 pp USD5.44 +37.1% 13 qtrs
47 FARTHER FINANCE ADVISORS, LLC 151.3K +80.8K (+114.4%) 1.13M +647.7K (+134.6%) 0.04% +0.022 pp 0.01% +0.005 pp USD7.16 +4.2% 2 qtrs
48 ARMBRUSTER CAPITAL MANAGEMENT, INC. 140.3K -10.0K (-6.7%) 1.05M +21.6K (+2.1%) 0.04% -0.006 pp 0.18% +0.001 pp USD2.92 +155.5% 5 qtrs
49 JUMP FINANCIAL, LLC 137.5K -35.7K (-20.6%) 1.03M -155.2K (-13.1%) 0.04% -0.014 pp 0.01% -0.002 pp USD4.85 +53.8% 6 qtrs
50 NUMERAI GP LLC 124.3K +45.6K (+57.9%) 927.1K +390.5K (+72.8%) 0.04% +0.012 pp 0.11% +0.036 pp USD6.22 +19.9% 4 qtrs
51 O'SHAUGHNESSY ASSET MANAGEMENT, LLC 112.2K +112.2K (+100.0%) 836.7K +836.7K (+100.0%) 0.03% +0.033 pp 0.00% +0.005 pp USD7.46 +0.0% 1 qtrs NEW
52 NORTHERN TRUST CORP 106.6K +106.6K (+100.0%) 795.4K +795.4K (+100.0%) 0.03% +0.031 pp 0.00% +0.000 pp USD7.46 +0.0% 1 qtrs NEW
53 HUSSMAN STRATEGIC ADVISORS, INC. 105.0K +105.0K (+100.0%) 783.3K +783.3K (+100.0%) 0.03% +0.031 pp 0.19% +0.189 pp USD7.46 +0.0% 1 qtrs NEW
54 SUSQUEHANNA PORTFOLIO STRATEGIES, LLC 87.7K +— (+0.0%) 654.5K +56.1K (+9.4%) 0.03% -0.002 pp 0.01% +0.001 pp USD5.56 +34.2% 3 qtrs
55 INVESCO LTD. 79.3K -4.6K (-5.5%) 591.9K +19.6K (+3.4%) 0.02% -0.003 pp 0.00% +0.000 pp USD3.58 +108.4% 8 qtrs
56 CWM, LLC 75.0K +— (+0.0%) 560.0K +48.0K (+9.4%) 0.02% -0.002 pp 0.00% +0.000 pp USD2.92 +155.5% 5 qtrs
57 MACKENZIE FINANCIAL CORP 73.1K +44.4K (+154.4%) 545.0K +349.0K (+178.1%) 0.02% +0.012 pp 0.00% +0.000 pp USD7.21 +3.5% 2 qtrs
58 BRINKER CAPITAL INVESTMENTS, LLC 65.9K +7.5K (+12.8%) 491.8K +93.0K (+23.3%) 0.02% +0.001 pp 0.00% +0.001 pp USD5.26 +41.8% 5 qtrs
59 VOLEON CAPITAL MANAGEMENT LP 63.5K -17.8K (-21.9%) 473.8K -81.0K (-14.6%) 0.02% -0.007 pp 0.01% -0.003 pp USD6.82 +9.4% 2 qtrs
60 MAN GROUP PLC 61.4K -8.4K (-12.1%) 457.7K -18.3K (-3.8%) 0.02% -0.004 pp 0.00% +0.000 pp USD4.48 +66.5% 6 qtrs
61 MAGNETAR FINANCIAL LLC 59.1K +22.6K (+61.9%) 440.8K +191.9K (+77.1%) 0.02% +0.006 pp 0.00% +0.003 pp USD6.29 +18.6% 3 qtrs
62 PINNACLE ASSOCIATES LTD 57.8K -9.1K (-13.5%) 431.2K -24.7K (-5.4%) 0.02% -0.004 pp 0.01% -0.001 pp USD6.30 +18.4% 17 qtrs
63 XTX TOPCO LTD 57.5K +21.9K (+61.7%) 428.7K +186.4K (+76.9%) 0.02% +0.006 pp 0.01% -0.001 pp USD7.06 +5.7% 9 qtrs
64 SCHONFELD STRATEGIC ADVISORS LLC 52.7K +34.0K (+182.6%) 392.8K +265.7K (+209.2%) 0.02% +0.010 pp 0.00% +0.001 pp USD7.23 +3.2% 2 qtrs
65 CAMPBELL & CO INVESTMENT ADVISER LLC 51.4K -21.6K (-29.6%) 383.5K -114.7K (-23.0%) 0.02% -0.008 pp 0.02% -0.019 pp USD5.56 +34.2% 3 qtrs
66 OCCUDO QUANTITATIVE STRATEGIES LP 49.5K +49.5K (+100.0%) 369.4K +369.4K (+100.0%) 0.01% +0.014 pp 0.02% +0.025 pp USD7.46 +0.0% 1 qtrs NEW
67 VERITION FUND MANAGEMENT LLC 49.4K +— (+0.0%) 368.5K +31.6K (+9.4%) 0.01% -0.001 pp 0.00% +0.000 pp USD4.09 +82.4% 17 qtrs
68 CI PRIVATE WEALTH, LLC 45.0K +— (+0.0%) 335.7K +28.8K (+9.4%) 0.01% -0.001 pp 0.00% +0.000 pp USD5.56 +34.2% 3 qtrs
69 FOX RUN MANAGEMENT, L.L.C. 43.7K -33.2K (-43.2%) 326.0K -198.3K (-37.8%) 0.01% -0.011 pp 0.05% -0.031 pp USD6.25 +19.4% 3 qtrs
70 ALLEGHENY FINANCIAL GROUP LTD 39.4K +18.3K (+86.6%) 293.8K +149.9K (+104.1%) 0.01% +0.005 pp 0.04% +0.017 pp USD7.12 +4.8% 2 qtrs
71 STATE OF NEW JERSEY COMMON PENSION FUND D 38.9K +— (+0.0%) 290.1K +24.9K (+9.4%) 0.01% -0.001 pp 0.00% +0.000 pp USD6.82 +9.4% 2 qtrs
72 SUSQUEHANNA INTERNATIONAL GROUP, LLP 35.7K -7.0K (-16.4%) 266.3K -24.9K (-8.5%) 0.01% -0.003 pp 0.00% +0.000 pp USD5.10 +46.3% 10 qtrs
73 KINGSWOOD WEALTH ADVISORS, LLC 35.3K -51.3K (-59.3%) 263.2K -327.4K (-55.4%) 0.01% -0.017 pp 0.01% -0.023 pp USD5.73 +30.2% 3 qtrs
74 EXCHANGE TRADED CONCEPTS, LLC 34.0K +34.0K (+100.0%) 254.0K +254.0K (+100.0%) 0.01% +0.010 pp 0.00% +0.002 pp USD7.46 +0.0% 3 qtrs
75 COUNTERPOINT MUTUAL FUNDS LLC 33.6K -41.8K (-55.5%) 250.5K -263.7K (-51.3%) 0.01% -0.014 pp 0.02% -0.022 pp USD5.64 +32.3% 3 qtrs
76 PHARVISION ADVISERS, LLC 29.8K +1.5K (+5.4%) 222.4K +29.4K (+15.2%) 0.01% 0.000 pp 0.11% +0.004 pp USD6.85 +8.9% 2 qtrs
77 GRAHAM CAPITAL MANAGEMENT, L.P. 29.4K -5.9K (-16.6%) 219.3K -21.2K (-8.8%) 0.01% -0.002 pp 0.01% +0.001 pp USD6.82 +9.4% 2 qtrs
78 AQUATIC CAPITAL MANAGEMENT LLC 28.7K -10.5K (-26.8%) 214.0K -53.2K (-19.9%) 0.01% -0.004 pp 0.01% +0.001 pp USD6.82 +9.4% 2 qtrs
79 ENTROPY TECHNOLOGIES, LP 28.0K +13.6K (+94.0%) 209.2K +110.6K (+112.2%) 0.01% +0.004 pp 0.01% +0.004 pp USD7.13 +4.6% 2 qtrs
80 RAYMOND JAMES FINANCIAL INC 26.8K -7.0K (-20.7%) 199.7K -30.6K (-13.3%) 0.01% -0.003 pp 0.00% +0.000 pp USD4.51 +65.4% 5 qtrs
81 SEI INVESTMENTS CO 25.8K +25.8K (+100.0%) 192.7K +192.7K (+100.0%) 0.01% +0.008 pp 0.00% +0.000 pp USD7.46 +0.0% 1 qtrs NEW
82 TRUIST FINANCIAL CORP 25.7K +7.2K (+38.5%) 191.8K +65.2K (+51.5%) 0.01% +0.002 pp 0.00% +0.000 pp USD6.27 +19.0% 13 qtrs
83 WINTON GROUP LTD 25.6K -9.4K (-26.9%) 191.3K -47.8K (-20.0%) 0.01% -0.003 pp 0.01% -0.002 pp USD5.90 +26.4% 3 qtrs
84 QUANTBOT TECHNOLOGIES LP 25.3K -18.3K (-41.9%) 188.5K -108.4K (-36.5%) 0.01% -0.006 pp 0.01% -0.002 pp USD5.51 +35.4% 4 qtrs
85 RITHOLTZ WEALTH MANAGEMENT 25.2K +25.2K (+100.0%) 187.6K +187.6K (+100.0%) 0.01% +0.007 pp 0.00% +0.003 pp USD7.46 +0.0% 1 qtrs NEW
86 MANGROVE PARTNERS 24.2K +24.2K (+100.0%) 180.6K +180.6K (+100.0%) 0.01% +0.007 pp 0.01% +0.015 pp USD7.46 +0.0% 1 qtrs NEW
87 SHELTON CAPITAL MANAGEMENT 24.0K +— (+0.0%) 179.4K +15.4K (+9.4%) 0.01% -0.001 pp 0.00% +0.000 pp USD5.22 +42.9% 4 qtrs
88 STATE OF TENNESSEE, TREASURY DEPARTMENT 22.4K +— (+0.0%) 179.3K +26.3K (+17.2%) 0.01% 0.000 pp 0.00% +0.000 pp USD5.56 +34.2% 3 qtrs
89 DRIVE WEALTH MANAGEMENT, LLC 23.0K +24.0 (+0.1%) 171.5K +14.9K (+9.5%) 0.01% 0.000 pp 0.03% +0.000 pp USD5.63 +32.5% 5 qtrs
90 TOROSO INVESTMENTS, LLC 22.6K -846.0 (-3.6%) 168.5K +8.7K (+5.4%) 0.01% -0.001 pp 0.00% +0.000 pp USD6.82 +9.4% 2 qtrs
91 MILESTONE ASSET MANAGEMENT, LLC 21.0K +21.0K (+100.0%) 156.7K +156.7K (+100.0%) 0.01% +0.006 pp 0.03% +0.030 pp USD7.46 +0.0% 1 qtrs NEW
92 WELLS FARGO & COMPANY/MN 20.5K +— (+0.0%) 152.8K +13.1K (+9.4%) 0.01% 0.000 pp 0.00% +0.000 pp USD5.36 +39.2% 17 qtrs
93 CITIGROUP INC 20.4K -8.6K (-29.7%) 152.1K -45.6K (-23.1%) 0.01% -0.003 pp 0.00% +0.000 pp USD6.11 +22.1% 17 qtrs
94 ASCENT GROUP, LLC 18.9K -612.0 (-3.1%) 141.3K +7.9K (+6.0%) 0.01% -0.001 pp 0.00% +0.000 pp USD5.56 +34.2% 3 qtrs
95 NEWEDGE ADVISORS, LLC 18.7K +17.3K (+1,229.0%) 139.3K +129.7K (+1,353.7%) 0.01% +0.005 pp 0.00% +0.001 pp USD7.32 +1.9% 3 qtrs
96 SAVANT CAPITAL, LLC 18.6K -5.7K (-23.5%) 138.4K -26.9K (-16.3%) 0.01% -0.002 pp 0.00% 0.000 pp USD6.01 +24.1% 5 qtrs
97 MARINER, LLC 18.5K -6.0K (-24.4%) 137.8K -28.8K (-17.3%) 0.01% -0.002 pp 0.00% 0.000 pp USD6.82 +9.4% 2 qtrs
Ownership breakdown by holder

ETF Ownership

Top ETFs holding this stock Held by 11 ETFs in our universe
# ETF Weight Est. AUM exposure TER
1 ProShares - Merger ETF MRGR 2.33% 371.8K 0.75%
2 NYLI Merger Arbitrage ETF MNA 1.33% 3.36M 0.75%
3 WisdomTree New Economy Real Estate UCITS ETF - USD Acc WTRE.L 0.60% 119.7K 0.45%
4 WisdomTree New Economy Real Estate UCITS ETF - USD WNER.L 0.60% 119.7K 0.45%
5 WisdomTree New Economy Real Estate Fund WTRE 0.57% 89.8K 0.58%
6 iShares Smart City Infrastructure UCITS ETF CITY.AS 0.17% 723.8K 0.40%
7 iShares Smart City Infrastructure UCITS ETF CT2B.AS 0.17% 85.5K 0.40%
8 Schwab Fundamental U.S. Small Company Index ETF FNDA 0.06% 5.54M 0.25%
9 iShares U.S. Small-Cap Equity Factor ETF SMLF 0.04% 1.76M 0.15%
10 Invesco RAFI US 1500 Small-Mid ETF PRFZ 0.04% 1.02M 0.34%

Insider Activity

Insider Activity — Latest Quarter
Ratio by transactions
2.00
Bullish
Ratio by volume
2.38
Bullish
Buys
6
Sells
3
Shares acquired
339.1K
Shares disposed
142.6K
Cash buys
Cash sales
3.00
Net activity
+196,560
Insider buys vs sells (history) From To
Recent insider transactions From To
Date Person Role Transaction A/D Security Shares Price Value Owned after D/I Filing
2026-04-07 Howden Stephen J Officer S-Sale D Ordinary Shares 44,707 8.25 368.7K 365,197 D
2026-04-07 Darwish Sam Director / Officer S-Sale D Ordinary Shares 11,383 8.24 93.8K 436,015 D
2026-04-07 Darwish Mohamad Officer S-Sale D Ordinary Shares 2,560 8.24 21.1K 299,400 D
2026-04-06 Tharoo Mustafa Officer M-Exempt D Restricted Stock Units 10,224 0.00 0 D
2026-04-06 Saad William Officer A-Award A Ordinary Shares 132,012 0.00 422,004 D
2026-04-06 Oyinlola Ayotade Officer M-Exempt D Restricted Stock Units 8,854 0.00 0 D
2026-04-06 Howden Stephen J Officer M-Exempt D Restricted Stock Units 9,570 0.00 0 D
2026-04-06 Darwish Sam Director / Officer M-Exempt D Restricted Stock Units 41,557 0.00 0 D
2026-04-06 Darwish Mohamad Officer M-Exempt D Restricted Stock Units 10,224 0.00 0 D
2026-03-26 Tharoo Mustafa Officer A-Award A Restricted Stock Units 32,958 0.00 32,958 D
2026-03-26 Saad William Officer A-Award A Restricted Stock Units 41,300 0.00 41,300 D
2026-03-26 Oyinlola Ayotade Officer A-Award A Restricted Stock Units 28,579 0.00 28,579 D
2026-03-26 Howden Stephen J Officer A-Award A Restricted Stock Units 40,206 0.00 40,206 D
2026-03-26 Darwish Sam Director / Officer A-Award A Restricted Stock Units 163,117 0.00 163,117 D
2026-03-26 Darwish Mohamad Officer A-Award A Restricted Stock Units 32,958 0.00 32,958 D
2026-03-18 Tharoo Mustafa Officer Restricted Stock Units 10,224 0.00 0 D
2026-03-18 Szigetvari Aniko Director Ordinary Shares 0 0.00 37,112 D
2026-03-18 Saad William Officer Restricted Stock Units 13,298 0.00 0 D
2026-03-18 Oyinlola Ayotade Officer Restricted Stock Units 8,854 0.00 0 D
2026-03-18 Nhleko Phuthuma Director Ordinary Shares 0 0.00 37,112 D
2026-03-18 Land Nicholas Director Ordinary Shares 0 0.00 37,112 D
2026-03-18 Lacerda Maria Carolina Director Ordinary Shares 0 0.00 37,112 D
2026-03-18 Howden Stephen J Officer Restricted Stock Units 9,570 0.00 0 D
2026-03-18 El-Rufai Bashir Ahmad Director Ordinary Shares 0 0.00 37,112 D
2026-03-18 Darwish Sam Director / Officer Restricted Stock Units 41,557 0.00 0 D
2026-03-18 Darwish Mohamad Officer Restricted Stock Units 10,224 0.00 0 D
2026-03-18 Bush John Ellis Director Ordinary Shares 0 0.00 118,556 D
2026-03-18 BURNS URSULA M Director Ordinary Shares 0 0.00 37,112 D
2016-07-12 Yergin Daniel Officer D-Return D Class A Common Shares 12,000 0.00 0
2016-07-12 STEAD JERRE L Director / Officer D-Return D Class A Common Shares 258,889 0.00 0
2016-07-12 ROEDEL RICHARD Director D-Return D Class A Common Shares 3,101 0.00 0
2016-07-12 MONTUPET JEAN PAUL L Director D-Return D Class A Common Shares 1,000 0.00 0
2016-07-12 IYER BALAKRISHNAN S Director D-Return D Class A Common Shares 12,500 0.00 0
2016-07-12 Hyatt Todd S. Officer D-Return D Class A Common Shares 37,891 0.00 0
2016-07-06 Yergin Daniel Officer S-Sale D Class A Common Shares 11,937 114.76 1.37M 82,292
2016-07-01 Yergin Daniel Officer F-InKind D Class A Common Shares 12,555 116.64 1.46M 94,229
2016-05-16 STEAD JERRE L Director / Officer G-Gift D Class A Common Shares 4,000 0.00 119,328
2016-05-02 Hyatt Todd S. Officer S-Sale D Class A Common Shares 100 123.47 12.3K 22,891
2016-03-24 STEAD JERRE L Director / Officer G-Gift D Class A Common Shares 54,550 0.00 123,328
2016-02-29 Yergin Daniel Officer A-Award A Class A Common Shares 6,000 0.00 106,784
2016-02-29 Hyatt Todd S. Officer A-Award A Class A Common Shares 7,000 0.00 24,391
2016-02-01 Hyatt Todd S. Officer S-Sale D Class A Common Shares 100 104.04 10.4K 17,391
2016-01-20 Yergin Daniel Officer A-Award A Class A Common Shares 24,800 0.00 112,171
2016-01-20 STEAD JERRE L Director / Officer F-InKind D Class A Common Shares 4,619 98.71 455.9K 177,878
2016-01-20 Hyatt Todd S. Officer A-Award A Class A Common Shares 564 0.00 13,909
2015-12-01 ROEDEL RICHARD Director A-Award A Class A Common Shares 443 0.00 1,895
2015-12-01 MONTUPET JEAN PAUL L Director A-Award A Class A Common Shares 1,452 0.00 7,625
2015-12-01 IYER BALAKRISHNAN S Director A-Award A Class A Common Shares 1,452 0.00 24,070
2015-11-30 STEAD JERRE L Director / Officer I Class A Common Shares 0 0.00 258,889
2015-07-31 Hyatt Todd S. Officer S-Sale D Class A Common Shares 1,500 125.31 188.0K 13,345
2015-07-02 Yergin Daniel Officer S-Sale D Class A Common Shares 7,987 128.09 1.02M 88,580
2015-07-01 Yergin Daniel Officer F-InKind D Class A Common Shares 10,010 128.72 1.29M 96,567
2015-06-01 Key Scott Director / Officer A-Award A Class A Common Shares 40,000 0.00 153,138
2015-04-30 Hyatt Todd S. Officer S-Sale D Class A Common Shares 1,112 124.17 138.1K 15,233
2015-03-27 Yergin Daniel Officer S-Sale D Class A Common Shares 4,336 110.75 480.2K 106,577
2015-03-26 Yergin Daniel Officer S-Sale D Class A Common Shares 10,000 110.57 1.11M 110,913
2015-03-26 Key Scott Director / Officer S-Sale D Class A Common Shares 3,000 110.59 331.8K 113,138
2015-02-01 Hyatt Todd S. Officer S-Sale D Class A Common Shares 1,781 114.99 204.8K 17,564
2015-01-14 Yergin Daniel Officer F-InKind D Class A Common Shares 11,860 113.22 1.34M 120,913
2015-01-14 STEAD JERRE L Director A-Award A Class A Common Shares 482 0.00 144,256
2015-01-14 Key Scott Director / Officer F-InKind D Class A Common Shares 22,221 113.22 2.52M 116,138
2015-01-14 Hyatt Todd S. Officer F-InKind D Class A Common Shares 4,398 113.22 497.9K 19,345
2015-01-02 Sisson Jeffrey D Officer A-Award A Class A Common Shares 5,000 0.00 24,004
2014-12-15 Key Scott Director / Officer F-InKind D Class A Common Shares 4,658 115.68 538.8K 87,959
2014-12-01 STEAD JERRE L Director A-Award A Class A Common Shares 1,617 0.00 143,774
2014-12-01 ROEDEL RICHARD Director A-Award A Class A Common Shares 1,455 0.00 1,455
2014-12-01 MONTUPET JEAN PAUL L Director A-Award A Class A Common Shares 1,455 0.00 6,173
2014-12-01 IYER BALAKRISHNAN S Director A-Award A Class A Common Shares 1,455 0.00 22,618
2014-11-15 Hyatt Todd S. Officer F-InKind D Class A Common Shares 1,398 131.73 184.2K 11,618
2014-11-03 STEAD JERRE L Director G-Gift D Class A Common Shares 5,000 0.00 142,157
2014-10-01 MENKE SEAN E Officer 0 0.00 0
2014-09-23 Key Scott Director / Officer S-Sale D Class A Common Shares 6,054 127.09 769.4K 94,563
2014-09-22 Key Scott Director / Officer S-Sale D Class A Common Shares 1,600 128.17 205.1K 101,017
2014-08-15 Key Scott Director / Officer F-InKind D Class A Common Shares 1,553 138.75 215.5K 102,617
2014-08-01 Hyatt Todd S. Officer S-Sale D Class A Common Shares 1,000 131.21 131.2K 13,016
2014-07-02 Yergin Daniel Officer S-Sale D Class A Common Shares 7,124 136.19 970.2K 109,377
2014-07-01 Yergin Daniel Officer F-InKind D Class A Common Shares 10,076 136.14 1.37M 116,501
2014-06-24 STEAD JERRE L Director / Officer G-Gift D Class A Common Shares 13,900 0.00 147,157
2014-05-01 Hyatt Todd S. Officer S-Sale D Class A Common Shares 1,000 120.48 120.5K 14,016
2014-04-24 STEAD JERRE L Director / Officer G-Gift D Class A Common Shares 2,100 0.00 161,057
2014-04-23 STEAD JERRE L Director / Officer G-Gift D Class A Common Shares 2,100 0.00 163,157
2014-04-15 Sisson Jeffrey D Officer F-InKind D Class A Common Shares 1,165 118.44 138.0K 19,004
2014-04-15 MENKE SEAN E Officer F-InKind D Class A Common Shares 1,599 118.44 189.4K 8,846
2014-04-15 Hyatt Todd S. Officer F-InKind D Class A Common Shares 1,138 118.44 134.8K 15,016
2014-03-15 SETTLE MARK F Officer A-Award A Class A Common Shares 10,000 0.00 10,000
2014-02-10 SETTLE MARK F Officer D Class A Common Shares 0 0.00 0
2014-02-03 Yergin Daniel Officer S-Sale D Class A Common Shares 1,127 112.05 126.3K 126,951
2014-02-03 Hyatt Todd S. Officer S-Sale D Class A Common Shares 2,000 112.52 225.0K 16,154
2014-02-01 Yergin Daniel Officer F-InKind D Class A Common Shares 1,499 113.08 169.5K 128,078
2014-02-01 WALKER RICHARD Officer F-InKind D Class A Common Shares 1,771 113.08 200.3K 15,560
2014-02-01 Sisson Jeffrey D Officer F-InKind D Class A Common Shares 513 113.08 58.0K 20,169
2014-02-01 STEAD JERRE L Director / Officer F-InKind D Class A Common Shares 1,934 113.08 218.7K 175,257
2014-02-01 Key Scott Director / Officer F-InKind D Class A Common Shares 1,049 113.08 118.6K 104,170
2014-02-01 Hyatt Todd S. Officer F-InKind D Class A Common Shares 507 113.08 57.3K 18,154
2014-01-17 Yergin Daniel Officer S-Sale D Class A Common Shares 7,024 117.37 824.4K 129,577
2014-01-17 WALKER RICHARD Officer S-Sale D Class A Common Shares 3,866 117.36 453.7K 17,331
2014-01-16 Yergin Daniel Officer S-Sale D Class A Common Shares 10,000 116.98 1.17M 136,601
2014-01-16 WALKER RICHARD Officer S-Sale D Class A Common Shares 10,000 116.99 1.17M 21,197
2014-01-16 Sisson Jeffrey D Officer S-Sale D Class A Common Shares 1,109 117.31 130.1K 20,682
2014-01-15 Yergin Daniel Officer A-Award A Class A Common Shares 1,675 0.00 130,414
2014-01-15 WALKER RICHARD Officer F-InKind D Class A Common Shares 9,834 117.30 1.15M 31,197
2014-01-15 Sisson Jeffrey D Officer A-Award A Class A Common Shares 676 0.00 21,681
2014-01-15 STEAD JERRE L Director / Officer A-Award A Class A Common Shares 1,951 0.00 155,801
2014-01-15 MENKE SEAN E Officer F-InKind D Class A Common Shares 266 117.30 31.2K 10,445
2014-01-15 Key Scott Director / Officer A-Award A Class A Common Shares 2,033 0.00 80,413
2014-01-15 Hyatt Todd S. Officer A-Award A Class A Common Shares 1,500 0.00 20,646
2014-01-09 Yergin Daniel Officer S-Sale D Class A Common Shares 205 122.77 25.2K 128,739
2014-01-02 Sisson Jeffrey D Officer F-InKind D Class A Common Shares 846 118.57 100.3K 21,005
2013-12-15 Key Scott Director / Officer F-InKind D Class A Common Shares 4,658 115.69 538.9K 78,380
2013-12-01 ROEDEL RICHARD Director G-Gift A Class A Common Shares 1,782 0.00 51,512
2013-12-01 MONTUPET JEAN PAUL L Director A-Award A Class A Common Shares 1,304 0.00 4,718
2013-12-01 Key Scott Director / Officer F-InKind D Class A Common Shares 3,882 115.01 446.5K 83,038
2013-12-01 IYER BALAKRISHNAN S Director A-Award A Class A Common Shares 1,304 0.00 21,163
2013-11-30 STEAD JERRE L Director / Officer 0 0.00 0
2013-11-15 Hyatt Todd S. Officer F-InKind D Class A Common Shares 1,398 113.50 158.7K 14,570
2013-11-12 WALKER RICHARD Officer S-Sale D Class A Common Shares 1,200 110.18 132.2K 17,928
2013-11-11 WALKER RICHARD Officer S-Sale D Class A Common Shares 5,196 108.58 564.2K 23,932
2013-09-23 WALKER RICHARD Officer S-Sale D Class A Common Shares 800 112.84 90.3K 29,128
2013-09-23 Sisson Jeffrey D Officer S-Sale D Class A Common Shares 4,033 112.80 454.9K 21,851
2013-09-23 Key Scott Director / Officer S-Sale D Class A Common Shares 800 111.90 89.5K 88,120
2013-08-15 WALKER RICHARD Officer F-InKind D Class A Common Shares 1,165 109.15 127.2K 30,463
2013-08-15 Key Scott Director / Officer F-InKind D Class A Common Shares 1,553 109.15 169.5K 88,920
2013-07-11 Sisson Jeffrey D Officer S-Sale D Class A Common Shares 5,000 110.00 550.0K 29,351
2013-07-03 Yergin Daniel Officer S-Sale D Class A Common Shares 10 103.66 1.0K 130,298
2013-07-02 Yergin Daniel Officer S-Sale D Class A Common Shares 10,000 103.61 1.04M 130,308
2013-07-01 Yergin Daniel Officer F-InKind D Class A Common Shares 9,990 103.98 1.04M 140,308
2013-05-28 MENKE SEAN E Officer D Class A Common Shares 0 0.00 10,000
2013-04-15 WALKER RICHARD Officer A-Award A Class A Common Shares 2,500 0.00 31,628
2013-04-15 Sisson Jeffrey D Officer A-Award A Class A Common Shares 2,500 0.00 34,351
2013-04-15 Hyatt Todd S. Officer A-Award A Class A Common Shares 2,500 0.00 15,968
2013-04-12 MATIN ARSHAD Officer A-Award A Class A Common Stock 8,000 0.00 10,859
2013-04-10 Klein Michael Stuart Director 0 0.00 0
2013-03-28 Hyatt Todd S. Officer S-Sale D Class A Common Stock 5,000 103.27 516.3K 13,468
2013-03-25 WALKER RICHARD Officer S-Sale D Class A Common Stock 2,856 103.01 294.2K 29,128
2013-03-25 Sisson Jeffrey D Officer S-Sale D Class A Common Stock 500 103.45 51.7K 31,851
2013-02-07 MONTUPET JEAN PAUL L Director P-Purchase A Class A Common Stock 500 102.72 51.4K 1,000
2013-02-04 Yergin Daniel Officer S-Sale D Class A Common Stock 1,501 102.58 154.0K 150,298
2013-02-01 Yergin Daniel Officer F-InKind D Class A Common Stock 1,499 103.67 155.4K 151,799
2013-02-01 WALKER RICHARD Officer F-InKind D Class A Common Stock 1,461 103.67 151.5K 34,128
2013-02-01 Sisson Jeffrey D Officer F-InKind D Class A Common Stock 1,368 103.67 141.8K 41,851
2013-02-01 STEAD JERRE L Director / Officer F-InKind D Class A Common Stock 5,816 103.67 602.9K 177,850
2013-02-01 Key Scott Officer F-InKind D Class A Common Stock 2,447 103.67 253.7K 90,473
2013-02-01 Hyatt Todd S. Officer F-InKind D Class A Common Stock 1,468 103.67 152.2K 18,468
2013-01-22 MONTUPET JEAN PAUL L Director P-Purchase A Class A Common Stock 500 99.26 49.6K 500
2013-01-18 Yergin Daniel Officer S-Sale D Class A Common Stock 3,337 99.14 330.8K 153,298
2013-01-17 Yergin Daniel Officer S-Sale D Class A Common Stock 10,000 100.03 1.00M 156,635
2013-01-16 Yergin Daniel Officer F-InKind D Class A Common Stock 10,513 101.39 1.07M 166,635
2013-01-16 WALKER RICHARD Officer F-InKind D Class A Common Stock 7,491 101.39 759.5K 35,589
2013-01-16 Sisson Jeffrey D Officer A-Award A Class A Common Stock 15,900 0.00 48,198
2013-01-16 STEAD JERRE L Director / Officer A-Award A Class A Common Stock 39,750 0.00 200,789
2013-01-16 Key Scott Officer A-Award A Class A Common Stock 28,620 0.00 104,850
2013-01-16 Hyatt Todd S. Officer A-Award A Class A Common Stock 3,975 0.00 17,855
2013-01-15 Key Scott Officer S-Sale D Class A Common Stock 5,000 101.71 508.6K 76,230
2013-01-10 Yergin Daniel Officer S-Sale D Class A Common Stock 5,695 101.54 578.3K 153,498
2013-01-02 Sisson Jeffrey D Officer F-InKind D Class A Common Stock 854 96.39 82.3K 32,298
2012-12-21 Yergin Daniel Officer G-Gift D Class A Common Stock 12,000 0.00 0
2012-12-18 Yergin Daniel Officer G-Gift A Class A Common Stock 12,000 0.00 12,000
2012-12-15 Key Scott Officer A-Award A Class A Common Stock 20,000 0.00 81,230
2012-12-01 ROEDEL RICHARD Director G-Gift A Class A Common Stock 3,053 0.00 49,730
2012-12-01 MONTUPET JEAN PAUL L Director A-Award A Class A Common Stock 1,621 0.00 3,414
2012-12-01 Klein Michael Stuart Director A-Award A Class A Common Stock 1,621 0.00 12,316
2012-12-01 Key Scott Officer F-InKind D Class A Common Stock 3,430 92.50 317.3K 61,230
2012-12-01 IYER BALAKRISHNAN S Director A-Award A Class A Common Stock 1,621 0.00 19,859
2012-11-30 STEAD JERRE L Director / Officer I Class A Common Stock 0 0.00 258,889
2012-10-22 WALKER RICHARD Officer S-Sale D Class A Common Stock 2,750 89.51 246.2K 24,000
2012-10-15 MATIN ARSHAD Officer F-InKind D Class A Common Stock 1,641 91.81 150.7K 2,859
2012-10-12 MONTUPET JEAN PAUL L Director A-Award A Class A Common Stock 1,655 0.00 1,655
2012-10-11 MATIN ARSHAD Officer A-Award A Class A Common Stock 4,500 0.00 4,500
2012-10-02 Yergin Daniel Officer M-Exempt A Class A Common Stock 12,500 37.65 470.6K 183,693
2012-10-01 Yergin Daniel Officer S-Sale D Class A Common Stock 6,778 97.78 662.8K 172,093
2012-09-24 ROEDEL RICHARD Director P-Purchase A Class A Common Stock 2,517 91.32 229.8K 2,517
2012-09-24 Key Scott Officer S-Sale D Class A Common Stock 1,000 91.76 91.8K 64,660
2012-08-15 WALKER RICHARD Officer F-InKind D Class A Common Stock 1,027 110.92 113.9K 27,035
2012-08-15 Key Scott Officer F-InKind D Class A Common Stock 1,372 110.92 152.2K 67,660
2012-08-07 Yergin Daniel Officer S-Sale D Class A Common Stock 2,027 110.53 224.0K 178,871
2012-08-06 Yergin Daniel Officer F-InKind D Class A Common Stock 1,623 110.81 179.8K 180,898
2012-08-06 WALKER RICHARD Officer F-InKind D Class A Common Stock 1,438 110.81 159.3K 28,062
2012-08-06 Sisson Jeffrey D Officer F-InKind D Class A Common Stock 1,315 110.81 145.7K 33,152
2012-08-06 STEAD JERRE L Director / Officer F-InKind D Class A Common Stock 5,135 110.81 569.0K 166,539
2012-08-06 Key Scott Officer F-InKind D Class A Common Stock 2,264 110.81 250.9K 69,032
2012-07-30 Sisson Jeffrey D Officer S-Sale D Class A Common Stock 5,007 110.12 551.4K 38,460
2012-07-30 STEAD JERRE L Director / Officer G-Gift D Class A Common Stock 9,000 0.00 190,174
2012-07-24 WALKER RICHARD Officer G-Gift D Class A Common Stock 285 0.00 26,750
2012-07-23 WALKER RICHARD Officer S-Sale D Class A Common Stock 4,600 102.23 470.2K 29,900
2012-07-11 STEAD JERRE L Director / Officer M-Exempt D Employee Stock Option (Right-to-Buy) 20,290 37.65 763.9K 0
2012-07-10 STEAD JERRE L Director / Officer S-Sale D Class A Common Stock 34,478 105.35 3.63M 199,580
2012-07-09 STEAD JERRE L Director / Officer S-Sale D Class A Common Stock 8,024 105.05 842.9K 202,976
2012-07-03 Yergin Daniel Officer S-Sale D Class A Common Stock 1,110 108.25 120.2K 182,521
2012-07-02 Yergin Daniel Officer S-Sale D Class A Common Stock 10,000 107.93 1.08M 183,631
2012-07-01 Yergin Daniel Officer F-InKind D Class A Common Stock 8,890 106.73 948.8K 193,631
2012-03-26 Sisson Jeffrey D Officer S-Sale D Class A Common Stock 100 93.92 9.4K 43,467
2012-03-26 Key Scott Officer S-Sale D Class A Common Stock 2,920 93.46 272.9K 71,296
2012-02-14 Hyatt Todd S. Officer / 10% Owner S-Sale D Class A Common Stock 431 89.12 38.4K 13,880
2012-02-13 Hyatt Todd S. Officer / 10% Owner F-InKind D Class A Common Stock 389 90.71 35.3K 14,311
2012-02-02 Hyatt Todd S. Officer / 10% Owner S-Sale D Class A Common Stock 919 89.26 82.0K 14,700
2012-02-01 Yergin Daniel Officer A-Award A Class A Common Stock 6,000 0.00 202,521
2012-02-01 WALKER RICHARD Officer F-InKind D Class A Common Stock 753 89.86 67.7K 31,900
2012-02-01 Sisson Jeffrey D Officer A-Award A Class A Common Stock 2,200 0.00 52,467
2012-02-01 STEAD JERRE L Director / Officer F-InKind D Class A Common Stock 3,424 89.86 307.7K 190,874
2012-02-01 Key Scott Officer F-InKind D Class A Common Stock 1,235 89.86 111.0K 69,716

Executive team

Top executives
EBIT / Employee
92.9K
Shares Outstanding
335.52M

Executive compensation

Executive compensation (annual)

Executive compensation not available.

CEO compensation breakdown

No CEO compensation history available.

Proxy statements

Proxy statements (DEF 14A)

No proxy statements available for this company yet.

Recent SEC filings

Recent SEC filings
Filing date Form type Filing
2026-05-26 6-K
2026-05-19 SC 13E3
2026-05-12 6-K
2026-05-12 6-K
2026-05-07 6-K
2026-04-30 6-K
2026-04-08 4
2026-04-08 4
2026-04-08 4
2026-04-08 4

Executive team

NameTitleCompensationGender
Ayotade Oyinlola Executive Vice President & Chief Human Resources Officer male
Mohamad Darwish Co-Founder, Executive VP & CEO of IHS Nigeria male
Mustafa Tharoo Executive Vice President & Group General Counsel male
Sam Darwish Chairman & Group Chief Executive Officer
Sandile Msimango Vice President & Chief Executive Officer of IHS South Africa male
Steve Howden Executive Vice President & Group Chief Financial Officer male
William S. Saad Co-Founder, Executive VP, Group COO & Executive Director
ESG Rating
B
TELECOMMUNICATIONS SERVICES
Rank: 61 out of 79
2026
E (Environmental)
62.5 / 58.5
Company / Sector avg.
S (Social)
67.8 / 69.1
Company / Sector avg.
G (Governance)
60.1 / 64.0
Company / Sector avg.
ESG Total
63.5 / 63.9
Company / Sector avg.
ESG Score History TELECOMMUNICATIONS SERVICES
Benchmark vs Sector
Senate Trading Activity

No Senate trading activity found for this company.

House Trading Activity

No House trading activity found for this company.

Market share among peers
Peer comparison — filtered group (TTM)
Your opinion

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Dividend history

Earnings history

Earnings reports

Stock splits