Dominos Pizza Inc (DPZ)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$32.3M
Holdings value Q1 2024
$16B
Value change Q1 2024
+$238M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
709
Number of Buys Q1 2024
312
Number of Sells Q1 2024
-295
Average Buys Q1 2024 %
+0.003%
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 32.3M $16B +$238M $496.88 691
2023 Q4 32.1M $13.2B +$229M $412.23 686
2023 Q3 32.3M $12.2B -$27.7M $378.79 637
2023 Q2 32.5M $10.9B +$539M $336.99 609
2023 Q1 32M $10.5B +$269M $329.87 600
2022 Q4 34.2M $11.9B +$962M $346.40 633
2022 Q3 32.7M $10.2B -$408M $310.20 620
2022 Q2 34.8M $13.5B +$432M $389.71 608
2022 Q1 34.6M $14.1B +$655M $407.01 625
2021 Q4 33.4M $18.8B -$219M $564.33 677
2021 Q3 33.6M $16B -$462M $476.96 644
2021 Q2 35.2M $16.4B -$814M $466.49 598
2021 Q1 38.4M $14.1B +$1.33B $367.79 586
2020 Q4 35.9M $13.8B +$488M $383.46 636
2020 Q3 35.4M $15.1B +$61.5M $425.28 607
2020 Q2 35.7M $13.2B +$569M $369.44 626
2020 Q1 36.2M $11.6B -$240M $324.07 542
2019 Q4 40.3M $11.8B -$379M $293.78 507
2019 Q3 42.6M $10.4B +$1.12B $244.59 475
2019 Q2 39.8M $11B +$571M $278.28 504
2019 Q1 40.4M $10.4B +$647M $258.10 488
2018 Q4 38.7M $9.59B +$338M $247.99 467
2018 Q3 38.1M $11.2B +$122M $294.80 471
2018 Q2 39.5M $11.1B -$347M $282.17 475
2018 Q1 42M $9.81B -$201M $233.56 443
2017 Q4 45.8M $8.67B +$384M $188.96 438
2017 Q3 44.9M $8.92B -$102M $198.55 403
2017 Q2 45.9M $9.71B -$264M $211.53 412
2017 Q1 48M $8.86B +$1.67B $184.30 395
2016 Q4 44.9M $7.15B +$298M $159.24 393
2016 Q3 44.4M $6.73B -$140M $151.85 361
2016 Q2 46.5M $6.1B -$77.8M $131.38 334
2016 Q1 48.6M $6.42B +$11.5M $131.86 335
2015 Q4 49.1M $5.46B +$92.8M $111.25 288
2015 Q3 51.4M $5.54B +$33.9M $107.91 297
2015 Q2 51.7M $5.82B +$49.7M $113.40 290
2015 Q1 51.5M $5.18B -$36.3M $100.55 263
2014 Q4 52.6M $4.96B +$289M $94.17 266
2014 Q3 50.2M $3.86B -$39.6M $76.96 218
2014 Q2 51.4M $3.76B +$43.3M $73.09 222
2014 Q1 52M $4B +$68.2M $76.97 239