NYSE : KMT

Kennametal Inc. — Institutional Ownership

$33.13 USD

-$0.72 (-2.13%)

Volume
1.08M
Average Volume
1.58M
Market Capitalization
$2.52B
P/E Ratio
7.38
Dividend Yield
2.41%
Price Target
$34.00
Year High
$43.81
Year Low
$20.08
Day High
Day Low
Payout Ratio
$0.18
Current Ratio
$2.62
Institutional Ownership Summary
Institutional Ownership %

29.97%

Investors Holding

130

change: -195.0 | last: 325
Increased Positions

68

change: -139.0 | last: 207
Reduced Positions

34

change: -43.0 | last: 77
New Positions

29

change: -55.0 | last: 84
Sold Positions

221

change: 187.0 | last: 34
Total Calls

400

Total Puts

3600

Put-Call Ratio

9.00

change: 877.3681 | last: 0.2263
Total Invested

800.36M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-04-30 Vanguard Capital Management 4M 5.24%
2026-04-29 Vanguard Portfolio Management 5.59M 7.33%
2026-04-07 BRANDES INVESTMENT PARTNERS, LP 10.33M 6.90%
2026-03-27 The Vanguard Group - 0.00%
2026-02-13 American Century Investment Management, Inc. 3.15M 4.10%
2025-11-14 American Century Investment Management, Inc. 4.22M 5.50%
2025-11-14 Ariel Investments, LLC 3.78M 5.00%
2025-11-13 BRANDES INVESTMENT PARTNERS, LP 10.33M 13.60%
2025-08-13 Ariel Investments, LLC 4.97M 6.50%
2025-07-02 BRANDES INVESTMENT PARTNERS, LP 8.16M 10.70%
2025-05-14 BRANDES INVESTMENT PARTNERS, LP 4.92M 6.40%
2025-05-13 Burgundy Asset Management Ltd. 481.44K 0.62%
2025-05-12 Wellington Management Group LLP 2.73M 3.50%
2025-04-30 BlackRock, Inc. 11.59M 15.00%
2025-02-10 Wellington Management Group LLP 5.31M 6.80%
2025-02-05 BlackRock, Inc. 12.63M 16.20%
2025-01-23 Dimensional Fund Advisors LP 5.13M 6.60%
2022-02-14 Ariel Investments, LLC 8.92M 8.00%
2022-02-10 The Vanguard Group - 23-1945930 8.1M 9.69%
2022-02-04 Wellington Group Holdings LLP 8.96M 10.71%
2022-02-04 Wellington Investment Advisors Holdings LLP 8.96M 10.71%
2022-02-04 Wellington Management Company LLP 8.28M 9.90%
2022-02-04 Wellington Management Group LLP 8.96M 10.71%
2022-01-27 (1) BlackRock, Inc. 9.49M 11.30%
2022-01-25 (1) BlackRock, Inc. 9.49M 11.30%
2021-09-10 # 02-0712418. 8.57M 8.00%
2021-02-12 Ariel Investments, LLC 6.11M 6.00%
2021-02-10 The Vanguard Group - 23-1945930 7.67M 9.20%
2021-02-04 Wellington Investment Advisors Holdings LLP 9.33M 11.20%
2021-02-04 Wellington Group Holdings LLP 9.33M 11.20%
2021-02-04 Wellington Management Company LLP 8.31M 9.98%
2021-02-04 Wellington Management Group LLP 9.33M 11.20%
2021-01-27 (1) BlackRock, Inc. 9.73M 11.70%
2020-06-09 Wellington Management Group LLP 8.55M 10.32%
2020-02-14 Ariel Investments, LLC 5.75M 5.00%
2020-02-12 The Vanguard Group - 23-1945930 7.94M 9.58%
2020-02-04 (1) BlackRock, Inc. 9.67M 11.70%
2020-01-28 Wellington Investment Advisors Holdings LLP 5.94M 7.17%
2020-01-28 Wellington Group Holdings LLP 5.94M 7.17%
2020-01-28 Wellington Management Company LLP 5.46M 6.59%
2020-01-28 Wellington Management Group LLP 5.94M 7.17%
2019-02-14 Ariel Investments, LLC 5.45M 5.00%
2019-02-13 Lazard Asset Management LLC 5.53M 11.00%
2019-01-31 (1) BlackRock, Inc. 9.52M 11.60%
2018-04-09 Lazard Asset Management LLC 8.26M 11.00%
2018-02-13 Ariel Investments, LLC 5.19M 5.00%
2018-01-23 (1) BlackRock, Inc. 8.52M 10.50%
2017-02-14 Ariel Investments, LLC 7.28M 7.00%
2017-01-09 (1) BlackRock, Inc. 8.21M 10.30%
2016-02-12 Ariel Investments, LLC 10.6M 10.00%
2016-02-10 (1) BlackRock, Inc. 5.34M 6.70%
2016-02-02 Artisan Partners Holdings LP 4.75M 6.00%
2016-02-02 Artisan Partners Asset Management Inc. 4.75M 6.00%
2016-02-02 Artisan Partners Funds, Inc. 3.13M 3.90%
2016-02-02 Artisan Investments GP LLC 4.75M 6.00%
2016-02-02 Artisan Partners Limited Partnership 4.75M 6.00%
2015-04-10 # 02-0712418. 8.19M 8.00%
2015-02-13 Ariel Investments, LLC 5.23M 5.00%
2015-02-09 (1) BlackRock, Inc. 4.65M 5.90%
2015-01-30 Artisan Partners Asset Management Inc. 6.12M 7.70%
2015-01-30 Artisan Partners Limited Partnership 6.12M 7.70%
2015-01-30 Artisan Partners Funds, Inc. 4.47M 5.70%
2015-01-30 Artisan Investments GP LLC 6.12M 7.70%
2015-01-30 Artisan Partners Holdings LP 6.12M 7.70%
2014-02-06 2 5.2M 6.60%
2014-01-29 (1) BlackRock, Inc. 5.08M 6.50%
2014-01-10 52-2343049 4.28M 5.46%
2013-02-14 Columbia Wanger Asset Management, 5.37M 6.70%
2013-02-11 (1) BlackRock, Inc. 4.58M 5.75%
2013-01-14 52-2343049 7.51M 9.44%
2012-06-12 Atlantic Investment Management, Inc. 4.3M 5.37%
2012-02-13 (1) BlackRock, Inc. 4.48M 5.64%
2012-02-10 04-3519872 5.72M 7.10%
2012-01-13 52-2343049 5.78M 7.28%
2011-02-07 (1) BlackRock, Inc. 4.31M 5.25%
2011-01-13 52-2343049 6.08M 7.41%
2010-05-10 Lord, Abbett & Co. LLC 3.59M 4.40%
2010-02-16 FMR LLC 5.76M 7.08%
2010-02-16 Edward C. Johnson 3d 5.76M 7.08%
2010-01-25 52-2343049 7.15M 8.78%
2009-02-17 04-2683227 2.32M 3.18%
2008-11-10 04-2683227 3.84M 5.02%
2008-02-14 04-2683227 8.34M 10.70%
2008-02-14 (. 3.14M 4.08%
2007-10-10 04-2683227 4.25M 10.92%
2007-02-21 (. 2.52M 6.53%
2006-02-14 FMR Corp. 873.44K 2.27%
2006-02-14 EIN #75-3019302 - 0.00%
2006-02-14 Edward C. Johnson 3d 873.44K 2.27%
2006-02-10 06-1564377 2.28M 11.00%
2005-02-14 EIN #75-3019302 2.27M 6.00%
2005-02-14 FMR Corp. 2.28M 6.01%
2005-02-14 Edward C. Johnson 3d 2.28M 6.01%
2005-02-14 Abigail P. Johnson 2.28M 6.01%
2004-02-17 EIN #75-3019302 2.39M 6.60%
2004-02-17 Abigail P. Johnson 3.71M 10.30%
2004-02-17 FMR Corp. 3.71M 10.30%
2004-02-17 Edward C. Johnson 3d 3.71M 10.30%
2003-02-14 EIN #75-3019302 1.97M 5.60%
2003-02-13 Edward C. Johnson 3d 4.31M 12.29%
2003-02-13 FMR Corp. 4.31M 12.29%
2003-02-13 Abigail P. Johnson 4.31M 12.29%
2002-12-06 95-3868081 1.83M 5.22%
2002-10-08 95-3868081 1.69M 4.83%
2002-09-11 Barclays Funds Limited - 0.00%
2002-09-11 Barclays Global Investors, LTD. 3340.0 0.01%
2002-09-11 Barclays Global Fund Advisors 342.77K 0.99%
2002-09-11 943112180 1.25M 3.59%
2002-02-14 Barclays Global Investors, LTD. 28323.0 0.09%
2002-02-14 Barclays Funds Limited 2511.0 0.01%
2002-02-14 FMR Corp. 4.49M 14.54%
2002-02-14 Abigail P. Johnson 4.49M 14.54%
2002-02-14 Edward C. Johnson 3d 4.49M 14.54%
2002-02-14 Barclays Global Fund Advisors 232.52K 0.75%
2002-02-14 943112180 1.69M 5.47%
2001-02-14 Edward C. Johnson 3d 3.63M 11.99%
2001-02-14 Abigail P. Johnson 3.63M 11.99%
2001-02-14 FMR Corp. 3.63M 11.99%
2000-02-11 FMR Corp. 3.62M 11.99%
2000-02-11 Edward C. Johnson 3d 3.62M 11.99%
2000-02-11 Abigail P. Johnson 3.62M 11.99%
1999-09-10 Abigail P. Johnson 3.38M 11.27%
1999-09-10 FMR Corp. 3.38M 11.27%
1999-09-10 Edward C. Johnson 3d 3.38M 11.27%
1996-12-10 Abigail P. Johnson 361.59K 1.35%
1996-12-10 Edward C. Johnson 3d 361.59K 1.35%
1996-12-10 04-2507163) 361.59K 1.35%
1996-11-12 04-2507163) 1.76M 6.59%
1996-11-12 Edward C. Johnson 3d 1.76M 6.59%
1996-11-12 Abigail P. Johnson 1.76M 6.59%
1996-03-15 04-2507163) 3.46M 12.99%
1996-03-15 ###-##-####) 3.46M 12.99%
1996-03-15 ###-##-####) 3.46M 12.99%
1995-02-10 94-3132809 1.85M 6.30%
1995-02-09 04-2507163) 2.96M 11.19%
1995-02-09 ###-##-####) 2.96M 11.19%
1994-11-08 ###-##-####) 2.98M 11.30%
1994-11-08 04-2507163) 2.98M 11.30%
KMT Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-06-30 $35.05 76.22M $2.67B $95.79M $717.45M $3.29B
2025-06-30 $22.96 77.26M $1.77B $140.54M $643.36M $2.28B
2024-06-30 $22.98 79.39M $1.82B $127.97M $645.75M $2.34B
2023-06-30 $28.39 80.8M $2.29B $106.02M $639.42M $2.83B
2022-06-30 $23.23 83.25M $1.93B $85.59M $663.28M $2.51B
2021-06-30 $35.92 83.6M $3B $154.05M $651.49M $3.5B
2020-06-30 $28.71 83.05M $2.38B $606.68M $1.14B $2.92B
2019-06-30 $36.23 82.38M $2.98B $182.02M $592.63M $3.4B
2018-06-30 $35.90 81.54M $2.93B $556.15M $991.7M $3.36B
2017-06-30 $37.42 80.35M $3.01B $190.63M $695.92M $3.51B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-06-30 $35.05 76.27M $2.67B $95.79M $717.45M $3.3B
2026-03-31 $36.13 76.2M $2.75B $106.85M $659.57M $3.31B
2025-12-31 $28.41 77.05M $2.19B $129.32M $644.39M $2.7B
2025-09-30 $20.93 76.13M $1.59B $103.5M $672.59M $2.16B
2025-06-30 $22.96 76.21M $1.75B $140.54M $643.36M $2.25B
2025-03-31 $21.30 77.04M $1.64B $97.47M $653.31M $2.2B
2024-12-31 $24.02 77.72M $1.87B $121.15M $642.2M $2.39B
2024-09-30 $25.93 78.07M $2.02B $119.59M $647.53M $2.55B
2024-06-30 $22.98 78.58M $1.81B $127.97M $645.75M $2.32B
2024-03-31 $24.38 79.23M $1.93B $92.12M $656.44M $2.5B
2023-12-31 $25.79 79.7M $2.06B $90.74M $666.21M $2.63B
2023-09-30 $24.88 80.02M $1.99B $95.1M $670.05M $2.57B