Expedia Group, Inc. - COM NEW (EXPE)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q2 2024
119M
Holdings value Q2 2024
$15B
Value change Q2 2024
-$203M
Grand Portfolio weight change Q2 2024
0%
Number of holders
756
Number of buys Q2 2024
97
Number of sells Q2 2024
-103
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 4.84M $718M -$7.6M $148.02 215
2024 Q2 119M $15B -$203M $125.99 763
2024 Q1 121M $16.7B -$384M $137.75 807
2023 Q4 123M $18.7B -$783M $151.79 775
2023 Q3 129M $13.3B -$424M $103.07 702
2023 Q2 132M $14.5B -$287M $109.39 719
2023 Q1 136M $13.2B -$127M $97.03 674
2022 Q4 138M $12.1B -$362M $87.60 670
2022 Q3 141M $13.2B -$379M $93.69 654
2022 Q2 145M $13.7B -$565M $94.83 719
2022 Q1 146M $28.5B +$499M $195.67 853
2021 Q4 143M $25.8B +$504M $180.72 793
2021 Q3 140M $22.9B -$90.3M $163.90 714
2021 Q2 141M $23B +$465M $163.71 755
2021 Q1 138M $23.7B +$189M $172.12 754
2020 Q4 138M $18.3B +$295M $132.40 638
2020 Q3 137M $12.6B +$458M $91.69 553
2020 Q2 132M $10.9B +$32.1M $82.20 540
2020 Q1 133M $7.49B -$353M $56.27 529
2019 Q4 134M $14.5B -$295M $108.14 649
2019 Q3 136M $18.2B +$2.05B $134.41 626
2019 Q2 120M $16B +$735M $133.03 591
2019 Q1 121M $14.4B +$476M $119.00 626
2018 Q4 117M $13.2B -$475M $112.65 608
2018 Q3 120M $15.7B +$121M $130.48 596
2018 Q2 119M $14.3B -$25.8M $120.19 565
2018 Q1 120M $13.3B -$207M $110.41 561
2017 Q4 122M $14.6B -$1.27B $119.77 586
2017 Q3 129M $18.5B +$1.4M $143.94 588
2017 Q2 129M $19.2B +$932M $148.95 575
2017 Q1 123M $15.6B +$1.07B $126.17 536
2016 Q4 123M $13.9B -$632M $113.28 534
2016 Q3 128M $14.9B +$678M $116.72 475
2016 Q2 123M $13.1B +$157M $106.30 491
2016 Q1 121M $13.1B +$325M $107.82 494
2015 Q4 119M $14.8B +$1.82B $124.30 544
2015 Q3 104M $12.2B +$154M $117.68 472
2015 Q2 103M $11.2B -$292M $109.35 424
2015 Q1 105M $9.93B +$12.7M $94.13 403
2014 Q4 106M $9.05B +$167M $85.36 428
2014 Q3 104M $9.1B +$187M $87.62 410
2014 Q2 102M $8.02B -$353M $78.76 368
2014 Q1 106M $7.68B +$24.2M $72.50 368