Horton D R Inc /De/ (DHI)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$262M
Holdings value Q1 2024
$43.1B
Value change Q1 2024
-$698M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1119
Number of Buys Q1 2024
467
Number of Sells Q1 2024
-507
Average Buys Q1 2024 %
+0.008%
Average Sells Q1 2024 %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 259M $42.5B -$503M $164.55 1,052
2023 Q4 268M $40.7B +$358M $151.98 1,086
2023 Q3 273M $29.3B -$629M $107.47 978
2023 Q2 279M $33.8B -$1.82B $121.69 958
2023 Q1 295M $28.4B -$126M $97.69 884
2022 Q4 300M $26.7B +$993M $89.14 896
2022 Q3 295M $19.9B +$397M $67.35 843
2022 Q2 295M $19.5B +$1.03B $66.19 867
2022 Q1 285M $21.2B +$300M $74.51 928
2021 Q4 288M $31.2B -$796M $108.45 1,033
2021 Q3 292M $24.5B +$7.35M $83.97 944
2021 Q2 294M $26.5B +$34.3M $90.37 924
2021 Q1 295M $26.2B +$408M $89.12 891
2020 Q4 295M $20.3B -$55.1M $68.92 889
2020 Q3 302M $22.8B +$448M $75.63 806
2020 Q2 302M $16.7B +$364M $55.45 761
2020 Q1 305M $10.4B +$32.4M $34.00 701
2019 Q4 311M $16.4B +$613M $52.75 770
2019 Q3 313M $16.5B +$217M $52.71 711
2019 Q2 321M $13.9B +$354M $43.13 653
2019 Q1 328M $13.6B +$1.08B $41.38 669
2018 Q4 315M $10.9B +$20.2M $34.66 665
2018 Q3 311M $13.1B -$233M $42.18 686
2018 Q2 319M $13.1B +$567M $41.00 681
2018 Q1 316M $13.8B +$392M $43.84 697
2017 Q4 318M $16.3B +$208M $51.07 691
2017 Q3 319M $12.7B +$553M $39.93 600
2017 Q2 331M $11.5B +$78.7M $34.57 603
2017 Q1 314M $10.5B +$1.33B $33.31 598
2016 Q4 336M $9.21B +$318M $27.33 577
2016 Q3 313M $9.45B +$70.1M $30.20 560
2016 Q2 315M $9.9B +$135M $31.48 542
2016 Q1 314M $9.41B +$3.19M $30.23 514
2015 Q4 323M $10.3B +$461M $32.03 572
2015 Q3 318M $9.34B +$643M $29.36 535
2015 Q2 308M $8.32B +$335M $27.36 468
2015 Q1 301M $8.56B +$160M $28.48 480
2014 Q4 300M $7.64B +$74.3M $25.29 455
2014 Q3 303M $6.22B +$77.1M $20.52 457
2014 Q2 310M $7.61B +$162M $24.58 442
2014 Q1 307M $6.65B +$424M $21.65 447