EXACT SCIENCES CORP - COM (EXAS)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
179M
Holdings value Q2 2024
$7.55B
Value change Q2 2024
+$623M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
518
Number of buys Q2 2024
75
Number of sells Q2 2024
-67
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 4.17M $284M +$8.98M $68.12 171
2024 Q2 179M $7.55B +$623M $42.25 522
2024 Q1 162M $11.2B +$69.1M $69.06 607
2023 Q4 161M $11.9B -$75.2M $73.98 628
2023 Q3 162M $11B -$146M $68.22 605
2023 Q2 162M $15.2B -$117M $93.90 641
2023 Q1 164M $11.1B +$100M $67.81 568
2022 Q4 163M $8.08B +$126M $49.51 530
2022 Q3 161M $5.24B -$245M $32.49 444
2022 Q2 147M $5.79B -$254M $39.39 470
2022 Q1 166M $11.6B +$466M $69.92 536
2021 Q4 160M $12.4B +$128M $77.83 568
2021 Q3 157M $15B +$330M $95.45 589
2021 Q2 153M $19B +$125M $124.31 606
2021 Q1 152M $20B +$867M $131.78 629
2020 Q4 146M $19.3B +$1.2B $132.49 612
2020 Q3 138M $14B +$573M $101.95 497
2020 Q2 132M $11.5B +$192M $86.94 501
2020 Q1 131M $7.62B -$74.1M $58.00 457
2019 Q4 130M $12B +$1.48B $92.48 512
2019 Q3 114M $10.3B -$186M $90.37 468
2019 Q2 115M $13.5B +$672M $118.04 473
2019 Q1 112M $9.74B +$48.2M $86.62 425
2018 Q4 112M $7.09B -$183M $63.10 362
2018 Q3 115M $9.04B +$658M $78.92 369
2018 Q2 107M $6.41B -$69M $59.79 350
2018 Q1 109M $4.41B +$406M $40.33 322
2017 Q4 99.1M $5.21B -$108M $52.54 318
2017 Q3 98.9M $4.66B -$157M $47.12 279
2017 Q2 103M $3.63B +$67.3M $35.37 260
2017 Q1 102M $2.41B +$295M $23.62 220
2016 Q4 97.5M $1.3B -$4.31M $13.36 218
2016 Q3 95.4M $1.77B +$16.1M $18.57 222
2016 Q2 94.6M $1.16B +$191M $12.25 177
2016 Q1 80M $538M -$89.3M $6.74 161
2015 Q4 92.3M $852M -$123M $9.23 179
2015 Q3 91.6M $1.65B -$33.4M $17.99 190
2015 Q2 87.9M $2.61B +$29.7M $29.74 202
2015 Q1 87.6M $1.93B +$53.4M $22.02 180
2014 Q4 84.1M $2.31B +$202M $27.44 197
2014 Q3 73.8M $1.43B -$99.9M $19.38 173
2014 Q2 79.7M $1.36B +$261M $17.03 154
2014 Q1 64.7M $917M +$6.68M $14.17 149