ESCO Technologies Inc

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ESCO Technologies Inc
TickerESE
CIK #0000866706
CUSIP296315104
SectorManufacturing - Communications Equipment, Nec
Address9900 A Clayton Rd, St Louis, MO 63124
Source [EDGAR]
CIK Filing 2011 - 2026
[0000866706] 10-K
[0000866706] 10-Q
[0000866706] 3
[0000866706] 4
[0000866706] 5
[0000866706] 8-K
[0000866706] SC 13G
Form 13D/13G Filer Form 13D/13G Subject Filed % Owned
Vanguard Capital Management LLC ESCO Technologies Inc [2026-04-29] 0.0
Vanguard Portfolio Management LLC ESCO Technologies Inc [2026-04-29] 0.0
T Rowe Price Investment Management Inc ESCO Technologies Inc [2022-08-10] 10.6
BlackRock Inc ESCO Technologies Inc [2021-01-25] 17.2
Dimensional Fund Advisors LP ESCO Technologies Inc [2017-02-09] 7.02
Dimensional Fund Advisors LP ESCO Technologies Inc [2016-02-09] 5.96
Keeley Asset Management Corp ESCO Technologies Inc [2015-02-09] 5.1
Heartland Advisors Inc ESCO Technologies Inc [2014-02-06] 6.0
Price T Rowe Associates Inc /MD/ ESCO Technologies Inc [2013-02-13] 5.1
Wellington Management Co LLP ESCO Technologies Inc [2012-02-14] 5.8
Vanguard Group Inc ESCO Technologies Inc [2012-02-09] 5.26
Form 3/4/5 Filer 2011 - 2026
Valdez Gloria L
ESCO Technologies Inc
Dewar Patrick M
Conner Penelope M
Campbell David A
Hess Janice L
Khilnani Vinod M
Phillippy Robert J
Schatz David M
Sayler Bryan H
Tucker Christopher L
Olivier Leon J
Stolze James M
Richey Victor L Jr
Solley Larry W
Barclay Alyson S
Muenster Gary E
Trauscht Donald C
Woods James D
McConnell James M
Insider Transaction (Form 3/4/5) Date Action Shares Price Value ($)
Khilnani Vinod M
Common Stock
2026-02-05 Option exercise 1,349 $238.40 321,602
Phillippy Robert J
Restricted Share Units · derivative
2026-02-05 Option exercise 1,349 $238.40 321,602
Conner Penelope M
Restricted Share Units · derivative
2026-02-05 Option exercise 1,349 $238.40 321,602
Khilnani Vinod M
Restricted Share Units · derivative
2026-02-05 Option exercise 1,349 $238.40 321,602
Valdez Gloria L
Restricted Share Units · derivative
2026-02-05 Option exercise 1,349 $238.40 321,602
Conner Penelope M
Common Stock
2026-02-05 Option exercise 1,349 $238.40 321,602
Khilnani Vinod M
Restricted Share Units · derivative
2026-02-05 Disposed to issuer 0.25 $238.40 60
Hess Janice L
Restricted Share Units · derivative
2026-02-05 Disposed to issuer 0.25 $238.40 60
Valdez Gloria L
Restricted Share Units · derivative
2026-02-05 Disposed to issuer 0.25 $238.40 60
Conner Penelope M
Restricted Share Units · derivative
2026-02-05 Disposed to issuer 0.25 $238.40 60
Hess Janice L
Common Stock
2026-02-05 Option exercise 1,349 $238.40 321,602
Phillippy Robert J
Restricted Share Units · derivative
2026-02-05 Disposed to issuer 0.25 $238.40 60
Hess Janice L
Restricted Share Units · derivative
2026-02-05 Option exercise 1,349 $238.40 321,602
Valdez Gloria L
Common Stock
2026-02-05 Option exercise 1,349 $238.40 321,602
Phillippy Robert J
Common Stock
2026-02-05 Option exercise 1,349 $238.40 321,602
Campbell David A
Restricted Share Units · derivative
2026-02-02 Grant 772 $233.09 179,945
Dewar Patrick M
Restricted Share Units · derivative
2026-02-02 Grant 772 $233.09 179,945
Hess Janice L
Restricted Share Units · derivative
2026-02-02 Grant 772 $233.09 179,945
Valdez Gloria L
Restricted Share Units · derivative
2026-02-02 Grant 772 $233.09 179,945
Dewar Patrick M
Restricted Share Units · derivative
2026-02-02 Grant 289.59 $233.09 67,501
showing 20 of 200 most recent transactions
13F Ownership Over TimeHoldersShares Held
2026-03-31 432 24,081,484
2025-12-31 392 24,597,183
2025-09-30 365 24,361,052
2025-06-30 364 24,487,743
2025-03-31 337 23,606,699
2024-12-31 284 23,472,582
2024-09-30 257 23,285,877
2024-06-30 257 23,020,360
2024-03-31 244 23,053,317
2023-12-31 222 22,675,717
2023-09-30 202 21,941,956
2023-06-30 201 21,744,057
Form 13F Holdings
Firm Period DFND Voting Shares
Wasatch Advisors LP [2026-06-30] SOLE 341,670 477,687
GHP Investment Advisors Inc [2026-06-30] SOLE 90,060 91,295
Fort Washington Investment Advisors Inc /OH/ [2026-06-30] SOLE 68,653 82,926
Peregrine Capital Management LLC [2026-06-30] SOLE 19,230 53,057
Alaska Retirement Management Board [2026-06-30] SOLE 12,521 12,521
Louisiana State Employees Retirement System [2026-06-30] SOLE 11,500 11,500
Plancorp LLC [2026-06-30] SOLE 0 9,604
Yousif Capital Management LLC [2026-06-30] SOLE 1,754 7,066
Shaker Investments LLC [2026-06-30] SOLE 6,170 6,864
Sowell Financial Services LLC [2026-06-30] SOLE 6,588 6,588
Commonwealth of Pennsylvania Public School Empls Retrmt SYS [2026-06-30] SOLE 6,143 6,143
Wealth Enhancement Advisory Services LLC [2026-06-30] SOLE 7 4,973
NorthCrest Asset Manangement LLC [2026-06-30] SOLE 0 4,191
Envestnet Portfolio Solutions Inc [2026-06-30] SOLE 3,726 3,726
First Citizens Bank & Trust Co [2026-06-30] SOLE 3,465 3,465
Sequoia Financial Advisors LLC [2026-06-30] SOLE 0 2,462
Thurston Springer Miller Herd & Titak Inc [2026-06-30] SOLE 2,224 2,224
Trust Point Inc [2026-06-30] SOLE 1,984 2,091
Crossmark Global Holdings Inc [2026-06-30] SOLE 1,647 1,647
Contravisory Investment Management Inc [2026-06-30] SOLE 1,561 1,561
Revolve Wealth Partners LLC [2026-06-30] SOLE 0 1,472
QP Wealth Management LLC [2026-06-30] SOLE 0 1,413
Grimes & Company Inc [2026-06-30] SOLE 1,404 1,404
[2026-06-30] SOLE 0 1,353
Gamma Investing LLC [2026-06-30] DFND 1,129 1,129
Wedmont Private Capital [2026-06-30] SOLE 0 1,076
Bay Colony Advisory Group Inc D/B/a Bay Colony Advisors [2026-06-30] SOLE 0 1,007
Davidson Kahn Capital Management LLC [2026-06-30] SOLE 0 1,000
Thomasville National Bank [2026-06-30] SOLE 975 975
Pacific Excel Wealth Advisors Inc [2026-06-30] SOLE 852 852
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