Cognizant Technology Solutions Corp (CTSH)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / CL A
Shares, Excl. Options Q1 2024
$442M
Holdings value Q1 2024
$32.3B
Value change Q1 2024
-$249M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
951
Number of Buys Q1 2024
376
Number of Sells Q1 2024
-421
Average Buys Q1 2024 %
+0.006%
Average Sells Q1 2024 %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 442M $32.3B -$249M $73.29 918
2023 Q4 450M $34B +$486M $75.53 923
2023 Q3 450M $30.5B -$566M $67.74 863
2023 Q2 458M $29.9B +$194M $65.28 866
2023 Q1 456M $27.7B -$130M $60.93 860
2022 Q4 472M $27B +$260M $57.19 887
2022 Q3 469M $27B +$148M $57.44 910
2022 Q2 469M $31.7B -$389M $67.49 928
2022 Q1 480M $43B +$70.5M $89.67 987
2021 Q4 480M $42.6B +$156M $88.72 979
2021 Q3 475M $35.2B +$296M $74.21 898
2021 Q2 473M $32.8B +$552M $69.26 907
2021 Q1 479M $37.4B +$228M $78.12 933
2020 Q4 481M $39.3B -$236M $81.95 938
2020 Q3 486M $33.7B -$881M $69.42 867
2020 Q2 500M $28.5B +$757M $56.82 847
2020 Q1 493M $22.9B +$179M $46.47 853
2019 Q4 491M $30.4B -$358M $62.02 955
2019 Q3 500M $30.1B -$98.6M $60.26 936
2019 Q2 512M $32.6B +$2.4B $63.39 967
2019 Q1 511M $37B +$599M $72.45 1,082
2018 Q4 507M $32.1B +$446M $63.48 1,028
2018 Q3 504M $38.8B -$433M $77.15 1,033
2018 Q2 513M $40.5B +$604M $78.99 1,051
2018 Q1 517M $41.5B -$10.2M $80.50 1,081
2017 Q4 523M $37.1B +$1.24B $71.02 1,053
2017 Q3 513M $37.2B -$221M $72.54 960
2017 Q2 523M $34.7B -$568M $66.40 918
2017 Q1 534M $31.8B +$2.32B $59.52 903
2016 Q4 540M $30.2B +$2.02B $56.03 928
2016 Q3 522M $24.9B -$46.4M $47.71 878
2016 Q2 534M $30.5B -$304M $57.24 912
2016 Q1 550M $33.9B +$139M $62.70 905
2015 Q4 543M $32.7B +$169M $60.02 917
2015 Q3 544M $34B +$591M $62.61 867
2015 Q2 545M $32.8B -$14.3M $61.09 842
2015 Q1 550M $34.3B +$574M $62.39 812
2014 Q4 550M $28.9B +$518M $52.66 795
2014 Q3 552M $24.7B +$490M $44.77 738
2014 Q2 559M $27.3B +$222M $48.91 730
2014 Q1 562M $28.5B +$14.4B $50.60 735