Cadence Design Systems Inc (CDNS)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$220M
Holdings value Q1 2024
$68.3B
Value change Q1 2024
-$404M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1252
Number of Buys Q1 2024
605
Number of Sells Q1 2024
-499
Average Buys Q1 2024 %
+0.019%
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 219M $68.1B -$562M $311.28 1,199
2023 Q4 227M $61.7B +$943M $272.37 1,194
2023 Q3 226M $53B -$280M $234.30 1,054
2023 Q2 228M $53.4B -$10.1M $234.52 1,048
2023 Q1 230M $48.2B +$899M $210.09 964
2022 Q4 233M $37.4B -$328M $160.64 889
2022 Q3 235M $38.5B +$702M $163.43 841
2022 Q2 232M $34.7B +$297M $150.03 798
2022 Q1 233M $38.3B +$95.7M $164.46 801
2021 Q4 233M $43.4B -$490M $186.35 838
2021 Q3 234M $35.4B +$23.7M $151.44 738
2021 Q2 233M $31.9B -$127M $136.82 727
2021 Q1 236M $32.3B -$26.8M $136.99 722
2020 Q4 240M $32.6B +$259M $136.43 718
2020 Q3 239M $25.5B -$448M $106.63 662
2020 Q2 244M $23.5B +$229M $95.96 614
2020 Q1 246M $16.2B +$440M $66.04 540
2019 Q4 242M $16.8B +$152M $69.36 587
2019 Q3 242M $16B -$95.2M $66.08 563
2019 Q2 244M $17.3B +$226M $70.81 562
2019 Q1 247M $15.7B +$92.2M $63.51 532
2018 Q4 247M $10.7B -$21M $43.48 486
2018 Q3 248M $11.3B +$46.1M $45.32 458
2018 Q2 249M $10.8B +$481M $43.31 425
2018 Q1 244M $8.93B +$166M $36.77 447
2017 Q4 246M $10.2B +$116M $41.82 460
2017 Q3 243M $9.59B +$407M $39.47 404
2017 Q2 239M $7.99B +$803M $33.49 382
2017 Q1 242M $7.59B +$1.07B $31.40 394
2016 Q4 235M $5.92B -$111M $25.22 364
2016 Q3 242M $6.17B -$166M $25.53 342
2016 Q2 251M $6.12B -$117M $24.30 359
2016 Q1 265M $6.25B -$162M $23.58 328
2015 Q4 277M $5.74B -$344M $20.81 315
2015 Q3 298M $6.14B +$150M $20.68 283
2015 Q2 299M $5.84B +$406M $19.66 276
2015 Q1 297M $5.47B -$93.5M $18.44 285
2014 Q4 308M $5.84B +$157M $18.97 287
2014 Q3 303M $5.21B +$90.4M $17.21 292
2014 Q2 300M $5.25B +$116M $17.49 282
2014 Q1 304M $7.53B +$3.14B $15.54 285