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Avery Dennison Corporation

AVY Consumer Discretionary
$159.66 +$0.76 (0.48%)
Market Cap: $12.21 B
Gurus Holding
6
Popularity Rank
#1307
% of Shares Held
0.91%
Net Activity (Q1 2026)
-$7.22 M

Guru Ownership Trend

Guru Analysis for Avery Dennison Corporation (AVY)

Avery Dennison Corporation (AVY), a key player in the Consumer Discretionary sector, continues to attract institutional attention.

As of Q1 2026, a total of 6 Super Investors (Gurus) hold positions in the company, with a combined stake valued at approximately $111.06 M.

Top institutional holders include Cliff Asness and Joel Greenblatt.

Institutional sentiment is currently Slightly Bearish. This is evidenced by a $7.22 M net outflow during the quarter.

Recent activity highlights Renaissance Technologies (RenTech) who opened a new position. Conversely, Jefferies Group reduced exposure by 45.4%.

Recent Activity Breakdown (Q1 2026)

+$15.28 M
Total Buy Value
New Buys 1
Additions 0
-$22.5 M
Total Sell Value
Reductions 5
Sold Out 1

Guru Consensus (Q1 2026)

Based on recent activity
Net Sellers
6
Net Buyers
1

FAQs for Avery Dennison Corporation (AVY)

Major holders include Cliff Asness ($77.37 M), Joel Greenblatt ($19.94 M), Renaissance Technologies (RenTech) ($15.28 M). According to the latest reported data, 6 tracked investment managers collectively hold approximately 695,582 shares.

According to the latest 13F reporting period, sentiment appears Bearish (Net Selling). There was a net outflow of $7.22 M, with 1 managers increasing positions and 6 managers reducing holdings.

During the most recent reporting period, 5 managers trimmed their positions, while 1 fully exited AVY. The total reported sell value was $22.5 M.

Yes, 1 managers opened new positions in AVY, and 0 increased their existing holdings. The total reported buy value was $15.28 M.

Portfolio Manager % Portfolio Activity Shares Value Report Date
0.04% Reduce -16.2% 454,227 $77.37 M Q1 2026
0.06% Reduce -1.0% 115,495 $19.94 M Q1 2026
0.02% New Buy 88,500 $15.28 M Q1 2026
0.03% Reduce -3.8% 13,633 $2.35 M Q1 2026
0.02% Reduce -45.4% 13,300 $2.3 M Q1 2026
0.01% Reduce -7.5% 10,427 $1.8 M Q1 2026
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