Akamai Technologies Inc (AKAM)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$135M
Holdings value Q1 2024
$14.7B
Value change Q1 2024
-$584M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
806
Number of Buys Q1 2024
330
Number of Sells Q1 2024
-362
Average Buys Q1 2024 %
+0.004%
Average Sells Q1 2024 %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 135M $14.7B -$584M $108.76 772
2023 Q4 139M $16.5B +$339M $118.35 772
2023 Q3 139M $14.8B +$26M $106.54 686
2023 Q2 138M $12.4B +$195M $89.87 687
2023 Q1 137M $10.7B -$137M $78.30 643
2022 Q4 143M $12.1B +$79.1M $84.30 715
2022 Q3 143M $11.5B -$171M $80.32 674
2022 Q2 146M $13.3B -$110M $91.33 715
2022 Q1 149M $17.8B +$417M $119.39 731
2021 Q4 147M $17.1B -$354M $117.04 725
2021 Q3 145M $15.2B -$250M $104.59 727
2021 Q2 148M $17.3B +$508M $116.60 735
2021 Q1 144M $14.7B -$85.9M $101.90 731
2020 Q4 148M $15.4B +$370M $104.99 795
2020 Q3 147M $16.2B +$140M $110.54 806
2020 Q2 147M $15.8B +$647M $107.09 799
2020 Q1 143M $13.1B -$69.6M $91.49 726
2019 Q4 145M $12.6B +$254M $86.38 693
2019 Q3 146M $13.3B +$37.6M $91.38 644
2019 Q2 146M $11.7B +$595M $80.14 617
2019 Q1 145M $10.4B +$395M $71.71 609
2018 Q4 145M $8.83B +$131M $61.08 601
2018 Q3 146M $10.7B +$173M $73.15 595
2018 Q2 147M $10.7B +$194M $73.23 606
2018 Q1 149M $10.5B -$44.8M $70.98 578
2017 Q4 152M $9.88B +$533M $65.04 564
2017 Q3 147M $7.16B +$141M $48.72 502
2017 Q2 146M $7.29B +$293M $49.81 542
2017 Q1 152M $9.1B +$606M $59.70 591
2016 Q4 155M $10.4B +$113M $66.68 594
2016 Q3 160M $8.49B +$468M $52.99 530
2016 Q2 159M $8.87B +$55.4M $55.93 519
2016 Q1 160M $8.78B +$380M $55.57 540
2015 Q4 157M $8.28B +$178M $52.63 554
2015 Q3 158M $10.8B +$221M $69.06 570
2015 Q2 157M $10.8B +$11.8M $69.82 572
2015 Q1 159M $11.3B +$430M $71.04 521
2014 Q4 157M $9.85B +$212M $62.96 531
2014 Q3 154M $9.21B -$52M $59.80 506
2014 Q2 156M $9.52B +$365M $61.06 477
2014 Q1 154M $8.92B -$422M $58.21 462