Agilent Technologies, Inc. (A)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$248M
Holdings value Q1 2024
$36.1B
Value change Q1 2024
-$7.29M
Grand Portfolio weight change Q1 2024
0%
Number of holders
1031
Number of Buys Q1 2024
439
Number of Sells Q1 2024
-402
Average Buys Q1 2024 %
+0.004%
Average Sells Q1 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 248M $36.1B -$7.29M $145.51 994
2023 Q4 251M $34.9B +$1.14B $139.03 1,004
2023 Q3 248M $27.7B -$557M $111.82 925
2023 Q2 252M $30.4B -$109M $120.25 939
2023 Q1 258M $35.6B +$664M $138.34 981
2022 Q4 257M $38.7B +$396M $149.65 970
2022 Q3 256M $31.1B -$1.37B $121.55 900
2022 Q2 256M $30.3B -$191M $118.77 884
2022 Q1 261M $34.5B -$651K $132.33 938
2021 Q4 262M $41.8B -$16.1M $159.65 1,003
2021 Q3 262M $41.3B +$2.03B $157.53 967
2021 Q2 262M $38.7B +$884M $147.81 902
2021 Q1 260M $33.1B -$413M $127.14 891
2020 Q4 266M $31.4B -$161M $118.49 859
2020 Q3 268M $27B -$278M $100.94 786
2020 Q2 271M $24B +$523M $88.37 765
2020 Q1 270M $19.3B +$388M $71.62 736
2019 Q4 267M $22.7B +$167M $85.31 787
2019 Q3 266M $20.4B +$223M $76.63 728
2019 Q2 268M $20.2B +$808M $74.67 729
2019 Q1 275M $22.1B +$531M $80.38 750
2018 Q4 269M $18.2B +$261M $67.46 717
2018 Q3 271M $19.1B +$71.7M $70.54 690
2018 Q2 272M $16.8B +$164M $61.84 696
2018 Q1 275M $18.4B +$139M $66.90 714
2017 Q4 278M $18.6B +$384M $66.97 675
2017 Q3 275M $17.6B +$35.8M $64.20 643
2017 Q2 276M $16.4B +$221M $59.31 607
2017 Q1 277M $14.7B +$1.41B $52.87 568
2016 Q4 277M $12.6B +$31.6M $45.56 570
2016 Q3 280M $13.2B +$311M $47.09 573
2016 Q2 278M $12.4B +$56.7M $44.36 591
2016 Q1 281M $11B -$148M $39.85 571
2015 Q4 284M $11.9B +$572M $41.81 583
2015 Q3 283M $9.72B +$522M $34.33 555
2015 Q2 278M $10.6B +$24.3M $38.58 590
2015 Q1 281M $11.7B +$241M $41.55 565
2014 Q4 282M $11.5B +$441M $40.94 594
2014 Q3 279M $15.8B +$278M $56.98 608
2014 Q2 278M $16.3B +$449M $57.44 616
2014 Q1 278M $15.5B +$459M $55.92 610