SS&C Technologies Holdings Inc (SSNC)
NASDAQ · Software & IT Services · Services-Prepackaged Software
- Price
- $79.72
- Day
- +0.58%
- Market cap
- $18.71B
- P/E
- 21.6
Close 2026-09-23.
The company
Overview SS&C Technologies Holdings, Inc. (NASDAQ: SSNC) is the world’s leading hedge fund and private equity administrator, as well as mutual fund transfer agent. SS&C’s unique business model combines end-to-end expertise across financial services operations with software and solutions to deliver value to customers of any size, scale, or complexity in the financial services and healthcare industries. SS&C owns and operates the full technology stack across securities accounting, front-to-back-office operations, performance and risk analytics, regulatory reporting and healthcare information processes. SS&C’s trusted and proven technology delivers an unparalleled level of scalable capabilities for the most complex portfolios, the most sophisticated strategies, and the highest volumes of transactions. Through a series of carefully selected acquisitions, lift outs, and focused research and development, the breadth and depth of SS&C’s expertise in financial services and healthcare technology are unmatched. Founded in 1986 and headquartered in Windsor, Connecticut, the Company is home to more than 28,000 employees and has more than 100 offices in 35 countries globally. With more than 23,000 clients spanning the health and financial services industries, our customers’ needs and requirements are always at the forefront of our strategy.
From Item 1: Overview.
By product & service
- Software Enabled Services — 83%
- Maintenance and Term Licenses — 14%
- Professional Services — 2%
- Perpetual Licenses — 1%
Institutional holders
Largest positions reported on Form 13F for the quarter ended 2026-06-30, by value.
- VANGUARD PORTFOLIO MANAGEMENT LLC — $755.23M
- PZENA INVESTMENT MANAGEMENT LLC — $684.82M
- VANGUARD CAPITAL MANAGEMENT LLC — $575.25M
- FMR LLC — $434.96M
- STATE STREET CORP — $388.24M
- AQR CAPITAL MANAGEMENT LLC — $372.14M
- BlackRock, Inc. — $337.79M
- CITADEL ADVISORS LLC — $328.66M
Insider trades
Open-market buys and sales filed on Form 4, newest first. Grants, option exercises and tax withholding are left out.
- ZAMKOW MICHAEL JAY (Director) sold 3,000 shares at $66.68 on 2026-05-22
- ZAMKOW MICHAEL JAY (Director) sold 3,000 shares at $66.78 on 2026-05-20
- MICHAEL JONATHAN E (Director) sold 2,740 shares at $66.86 on 2026-05-20
- BOULANGER NORMAND A (Director) sold 150,000 shares at $85.85 on 2025-11-25
- ZAMKOW MICHAEL JAY (Director) sold 12,500 shares at $79.92 on 2025-05-13
- ZAMKOW MICHAEL JAY (Director) sold 12,900 shares at $77.60 on 2025-05-02
Recent filings
- 4 — 2026-08-18
- SCHEDULE 13G — 2026-08-06
- SCHEDULE 13G — 2026-07-31
- 10-Q — 2026-07-30
- SCHEDULE 13G — 2026-07-30
- S-8 — 2026-07-29
- 8-K — 2026-07-23
- 4 — 2026-05-22
- 4 — 2026-05-22
- 144 — 2026-05-22