Darden Restaurants Inc (DRI)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$113M
Holdings value Q1 2024
$18.8B
Value change Q1 2024
+$480M
Grand Portfolio weight change Q1 2024
+0.001%
Number of holders
959
Number of Buys Q1 2024
384
Number of Sells Q1 2024
-384
Average Buys Q1 2024 %
+0.002%
Average Sells Q1 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 113M $18.8B +$480M $167.15 920
2023 Q4 110M $18B -$270M $164.30 927
2023 Q3 113M $16.1B -$126M $143.22 858
2023 Q2 114M $19B +$308M $167.08 865
2023 Q1 114M $17.4B +$961M $155.16 843
2022 Q4 109M $15.1B -$69.5M $138.33 822
2022 Q3 110M $13.9B -$49.3M $126.32 737
2022 Q2 111M $12.6B +$127M $113.12 717
2022 Q1 111M $14.8B +$226M $132.95 774
2021 Q4 113M $17B -$327M $150.64 816
2021 Q3 117M $17.7B +$850M $151.47 784
2021 Q2 115M $16.8B +$437M $145.99 787
2021 Q1 115M $16.3B +$82.5M $142.00 777
2020 Q4 118M $14.1B +$343M $119.12 709
2020 Q3 119M $11.9B +$566M $100.74 676
2020 Q2 118M $8.75B +$1.27B $75.77 677
2020 Q1 107M $5.83B +$109M $54.46 645
2019 Q4 109M $11.9B -$147M $109.01 752
2019 Q3 112M $13.3B -$35.9M $118.22 738
2019 Q2 113M $14.3B +$1.01B $121.73 735
2019 Q1 110M $13.8B -$48.2B $121.47 757
2018 Q4 112M $11.2B +$201M $99.86 693
2018 Q3 112M $12.6B +$165M $111.19 678
2018 Q2 112M $12B +$457M $107.06 677
2018 Q1 112M $9.55B +$279M $85.25 648
2017 Q4 113M $10.8B -$206M $96.02 660
2017 Q3 115M $9.05B +$253M $78.78 598
2017 Q2 113M $10.2B -$416M $90.44 626
2017 Q1 119M $9.94B +$1.01B $83.67 620
2016 Q4 119M $8.64B +$767M $72.72 598
2016 Q3 110M $6.74B -$116M $61.32 561
2016 Q2 121M $7.66B +$175M $63.34 578
2016 Q1 119M $7.75B +$201M $66.30 576
2015 Q4 116M $7.39B +$373M $63.64 563
2015 Q3 113M $7.7B +$672M $68.54 578
2015 Q2 105M $7.31B +$384M $71.08 577
2015 Q1 107M $7.42B +$315M $69.34 553
2014 Q4 107M $6.29B -$1.52B $58.63 530
2014 Q3 114M $5.85B +$234M $51.46 477
2014 Q2 114M $5.25B +$250M $46.27 496
2014 Q1 111M $5.62B +$318M $50.76 500