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[SCHEDULE 13G/A] STONERIDGE INC SEC Filing

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SCHEDULE 13G/A

Royce & Associates LP filed an amended Schedule 13G reporting beneficial ownership of 1,035,697 shares of Stoneridge, Inc. (SRI) common stock, representing 3.70% of the class. The filing indicates sole voting and sole dispositive power over the same number of shares and classifies the filer as an investment adviser (IA).

The position reflects ownership of 5 percent or less of the class, with the securities held in the ordinary course of business and not for the purpose of changing or influencing control. The date of event is 09/30/2025.

Royce & Associates LP ha presentato una Schedule 13G modificata riportando la proprietà benefica di 1.035.697 azioni di Stoneridge, Inc. (SRI) azioni ordinarie, che rappresentano 3,70% della categoria. La presentazione indica potere di voto esclusivo e potere dispositivi esclusivo sulle stesse azioni e classifica il soggetto come consulente di investimento (IA).

La posizione riflette la proprietà del 5 percento o meno della categoria, con i titoli detenuti nell'ordinaria gestione aziendale e non per cambiamento o influenza sul controllo. La data dell'evento è il 30/09/2025.

Royce & Associates LP presentó una Schedule 13G enmendada reportando la propiedad beneficiaria de 1,035,697 acciones de Stoneridge, Inc. (SRI) acciones comunes, que representa el 3,70% de la clase. La presentación indica voto único y poder dispositivо único sobre la misma cantidad de acciones y clasifica al solicitante como asesor de inversión (IA).

La posición refleja propiedad del 5 por ciento o menos de la clase, con los valores mantenidos en el curso ordinario de negocio y no para cambiar o influir en el control. La fecha del evento es el 30/09/2025.

Royce & Associates LP는 Stoneridge, Inc. (SRI) 보통주 1,035,697주에 대한 실질 소유를 보고하는 수정된 Schedule 13G를 제출했으며, 이는 해당 주식의 3.70%를 차지합니다. 신고서는 동일한 수의 주식에 대해 단독 의결권단독 처분권이 있음을 나타내며 제출자를 투자 자문사(IA)로 분류합니다.

이 포지션은 해당 분류의 5% 또는 그 이하의 소유를 반영하며, 일반적인 영업 활동의 일환으로 보유된 것이고 지배권을 변경하거나 영향을 주려는 의도가 없습니다. 사건 날짜는 2025년 9월 30일입니다.

Royce & Associates LP a déposé un Schedule 13G amendé déclarant la propriété bénéficiaire de 1 035 697 actions ordinaires de Stoneridge, Inc. (SRI), représentant 3,70% de la catégorie. Le dossier indique un pouvoir de vote exclusif et un pouvoir discrétionnaire exclusif sur le même nombre d'actions et classe le déclarant comme conseiller en investissement (IA).

La position reflète une propriété de 5 pour cent ou moins de la catégorie, les titres étant détenus dans le cadre des activités ordinaires et non dans le but de modifier ou d'influencer le contrôle. La date de l'événement est le 30/09/2025.

Royce & Associates LP hat eine geänderte Schedule 13G eingereicht, die Eigentum an 1.035.697 Aktien von Stoneridge, Inc. (SRI) Stammaktien meldet und 3,70% der Klasse repräsentiert. Die Einreichung weist auf alleiniges Stimm- und alleiniges Verfügungsrecht über dieselbe Anzahl von Aktien hin und klassifiziert den Einreicher als Investmentberater (IA).

Die Position spiegelt Eigentum von 5 Prozent oder weniger der Klasse wider, wobei die Wertpapiere im gewöhnlichen Geschäftsgang gehalten werden und nicht zum Zweck der Veränderung oder Beeinflussung der Kontrolle. Das Datum des Ereignisses ist der 30.09.2025.

Royce & Associates LP قدمت Schedule 13G المعدل مُبلغة عن الملكية المفيدة لــ 1,035,697 سهماً من أسهم Stoneridge, Inc. (SRI) العادية، والتي تمثل 3.70% من الفئة. تشير الوثيقة إلى سلطة التصويت الحصرية وسلطة التصرف الحصرية على نفس عدد الأسهم وتتصنف المبلغ كـ مستشار استثمار (IA).

تعكس الوضعية ملكية بنسبة 5% أو أقل من الفئة، وتُحتفظ الأوراق المالية في سياق الأعمال الاعتيادية وليست بغرض تغيير أو التأثير على السيطرة. تاريخ الحدث هو 30/09/2025.

Royce & Associates LP 已提交经修订的 Schedule 13G,报告对 Stoneridge, Inc. (SRI) 普通股的实益所有权为 1,035,697 股,约占该类别的 3.70%。该申报显示对同一数量的股份具有单独投票权和单独处置权,并将申报人归类为投资顾问(IA)。

该头寸反映出对该类别 5% 或以下 的所有权,证券以普通业务过程持有,非为改变或影响控制而持有。事件日期为 2025/09/30

Positive
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Negative
  • None.

Royce & Associates LP ha presentato una Schedule 13G modificata riportando la proprietà benefica di 1.035.697 azioni di Stoneridge, Inc. (SRI) azioni ordinarie, che rappresentano 3,70% della categoria. La presentazione indica potere di voto esclusivo e potere dispositivi esclusivo sulle stesse azioni e classifica il soggetto come consulente di investimento (IA).

La posizione riflette la proprietà del 5 percento o meno della categoria, con i titoli detenuti nell'ordinaria gestione aziendale e non per cambiamento o influenza sul controllo. La data dell'evento è il 30/09/2025.

Royce & Associates LP presentó una Schedule 13G enmendada reportando la propiedad beneficiaria de 1,035,697 acciones de Stoneridge, Inc. (SRI) acciones comunes, que representa el 3,70% de la clase. La presentación indica voto único y poder dispositivо único sobre la misma cantidad de acciones y clasifica al solicitante como asesor de inversión (IA).

La posición refleja propiedad del 5 por ciento o menos de la clase, con los valores mantenidos en el curso ordinario de negocio y no para cambiar o influir en el control. La fecha del evento es el 30/09/2025.

Royce & Associates LP는 Stoneridge, Inc. (SRI) 보통주 1,035,697주에 대한 실질 소유를 보고하는 수정된 Schedule 13G를 제출했으며, 이는 해당 주식의 3.70%를 차지합니다. 신고서는 동일한 수의 주식에 대해 단독 의결권단독 처분권이 있음을 나타내며 제출자를 투자 자문사(IA)로 분류합니다.

이 포지션은 해당 분류의 5% 또는 그 이하의 소유를 반영하며, 일반적인 영업 활동의 일환으로 보유된 것이고 지배권을 변경하거나 영향을 주려는 의도가 없습니다. 사건 날짜는 2025년 9월 30일입니다.

Royce & Associates LP a déposé un Schedule 13G amendé déclarant la propriété bénéficiaire de 1 035 697 actions ordinaires de Stoneridge, Inc. (SRI), représentant 3,70% de la catégorie. Le dossier indique un pouvoir de vote exclusif et un pouvoir discrétionnaire exclusif sur le même nombre d'actions et classe le déclarant comme conseiller en investissement (IA).

La position reflète une propriété de 5 pour cent ou moins de la catégorie, les titres étant détenus dans le cadre des activités ordinaires et non dans le but de modifier ou d'influencer le contrôle. La date de l'événement est le 30/09/2025.

Royce & Associates LP hat eine geänderte Schedule 13G eingereicht, die Eigentum an 1.035.697 Aktien von Stoneridge, Inc. (SRI) Stammaktien meldet und 3,70% der Klasse repräsentiert. Die Einreichung weist auf alleiniges Stimm- und alleiniges Verfügungsrecht über dieselbe Anzahl von Aktien hin und klassifiziert den Einreicher als Investmentberater (IA).

Die Position spiegelt Eigentum von 5 Prozent oder weniger der Klasse wider, wobei die Wertpapiere im gewöhnlichen Geschäftsgang gehalten werden und nicht zum Zweck der Veränderung oder Beeinflussung der Kontrolle. Das Datum des Ereignisses ist der 30.09.2025.






Check the appropriate box to designate the rule pursuant to which this Schedule is filed:
Rule 13d-1(b)
Rule 13d-1(c)
Rule 13d-1(d)






SCHEDULE 13G





SCHEDULE 13G



ROYCE & ASSOCIATES LP
Signature:Daniel A. O'Byrne
Name/Title:Vice President
Date:10/22/2025
Exhibit Information

The securities reported herein are beneficially owned by one or more registered investment companies or other managed accounts that are investment management clients of Royce & Associates, LP ("RALP"), an indirect majority owned subsidiary of Franklin Resources, Inc.("FRI"). When an investment management contract (including a sub advisory agreement) delegates to RALP investment discretion or voting power over the securities held in the investment advisory accounts that are subject to that agreement, FRI treats RALP as having sole investment discretion or voting authority, as the case may be, unless the agreement specifies otherwise. Accordingly, RALP reports on Schedule 13G that it has sole investment discretion and voting authority over the securities covered by any such investment managementagreement, unless otherwise noted in this Item 4. As a result, for purposes of Rule 13d 3 under the Act, RALP may be deemed to be the beneficial owner of the securities reported in this Schedule 13G. Beneficial ownership by investment management subsidiaries and other affiliates of FRI is being reported in conformity with the guidelines articulated by the SEC staff in Release No. 3439538 (January 12, 1998) relating to organizations, such as FRI, where related entities exercise voting and investment powers over the securities being reported independently from eachother. The voting and investment powers held by RALP are exercised independently from FRI(RALP's parent holding company) and from all other investment management subsidiaries of FRI (FRI, its affiliates and investment management subsidiaries other than RALP are, collectively, "FRI affiliates"). Furthermore, internal policies and procedures of RALP and FRI affiliates establish informational barriers that prevent the flow between RALP and the FRI affiliates of information that relates to the voting and investment powers over the securities owned by their respective investment management clients. Consequently, RALP and the FRI affiliates report the securities over which they hold investment and voting power separately from each other for purposes of Section 13 of the Act. Charles B. Johnson and Rupert H. Johnson, Jr. (the "Principal Shareholders") may each own in excess of 10% of the outstanding common stock of FRI and are the principal stockholders of FRI (see FRI's Proxy Statement-Stock Ownership of Certain Beneficial Owners). However, because RALP exercises voting and investment powers on behalf of its investment management clients independently of FRI affiliates, beneficial ownership of the securities reported by RALP is not attributed to the Principal Shareholders. RALP disclaims any pecuniary interest in any of the securities reported in this Schedule 13G. In addition, the filing of this Schedule 13G on behalf of RALP should not be construed as an admission that it is, and it disclaims that it is, the beneficial owner, as defined in Rule 13d 3, of any of such securities. Furthermore, RALP believes that it is not a "group" with FRI affiliates, the Principal Shareholders, or their respective affiliates within the meaning of Rule 13d 5 under the Act and that none of them is otherwise required to attribute to any other the beneficial ownership of the securities held by such person or by any persons or entities for whom or for which RALP or the FRI affiliates provide investment management services.

FAQ

Who filed the Schedule 13G/A for SRI?

The filing was submitted by Royce & Associates LP.

How many SRI shares does Royce & Associates report owning?

They report 1,035,697 shares of Stoneridge, Inc. common stock.

What percentage of SRI’s outstanding shares does this represent?

The filing states 3.70% of the class.

What voting and dispositive powers are reported?

The filer has sole voting power over 1,035,697 shares and sole dispositive power over 1,035,697 shares.

What is the basis for the filing classification?

The filer is classified as an Investment Adviser (IA) under Rule 13d-1(b)(1)(ii)(E).

Is the position intended to influence control of SRI?

No. The certification states the securities are held in the ordinary course and not to change or influence control.

What is the date of the reportable event in this filing?

The date of event is 09/30/2025.
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