Fedex Corp (FDX)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$181M
Holdings value Q1 2024
$52.5B
Value change Q1 2024
-$105M
Grand Portfolio weight change Q1 2024
0%
Number of holders
1753
Number of Buys Q1 2024
663
Number of Sells Q1 2024
-800
Average Buys Q1 2024 %
+0.008%
Average Sells Q1 2024 %
-0.011%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 179M $51.9B -$105M $289.74 1,674
2023 Q4 185M $46.9B +$298M $252.97 1,752
2023 Q3 187M $49.6B +$866M $264.92 1,691
2023 Q2 184M $45.5B +$779M $247.90 1,699
2023 Q1 184M $42.1B +$1.03B $228.49 1,650
2022 Q4 185M $32B -$477M $173.20 1,561
2022 Q3 190M $28.3B +$979M $148.47 1,501
2022 Q2 187M $42.8B +$1.23B $226.71 1,689
2022 Q1 185M $42.7B +$182M $231.39 1,661
2021 Q4 186M $48.2B -$146M $258.64 1,727
2021 Q3 188M $41.2B -$1.27B $219.29 1,577
2021 Q2 195M $58.3B +$953M $298.33 1,650
2021 Q1 193M $54.8B +$1.41B $284.04 1,626
2020 Q4 189M $49.1B -$744M $259.62 1,582
2020 Q3 195M $49B +$1.7B $251.52 1,474
2020 Q2 190M $26.7B -$322M $140.22 1,234
2020 Q1 195M $23.5B +$733M $121.26 1,229
2019 Q4 190M $28.8B +$976M $151.21 1,338
2019 Q3 186M $27.1B -$15.9M $145.57 1,311
2019 Q2 188M $30.9B +$1.66B $164.19 1,351
2019 Q1 182M $33.1B +$202M $181.41 1,388
2018 Q4 187M $30.1B -$221M $161.33 1,430
2018 Q3 191M $46.1B -$90.2M $240.79 1,479
2018 Q2 194M $43.9B -$430M $227.06 1,458
2018 Q1 198M $47.6B +$34.7M $240.11 1,461
2017 Q4 200M $49.9B -$793M $249.54 1,435
2017 Q3 204M $46.1B +$86.3M $225.58 1,289
2017 Q2 205M $44.6B +$293M $217.33 1,247
2017 Q1 206M $40.2B +$3.76B $195.15 1,211
2016 Q4 202M $37.6B +$698M $186.20 1,168
2016 Q3 200M $34.9B +$755M $174.68 1,103
2016 Q2 198M $30.1B -$1.8B $151.78 1,066
2016 Q1 211M $32.6B +$134M $162.72 1,057
2015 Q4 202M $30.1B -$512M $148.99 1,062
2015 Q3 210M $30.2B -$114M $143.98 1,015
2015 Q2 215M $36B +$758M $170.40 1,044
2015 Q1 213M $35.2B -$225M $165.45 1,003
2014 Q4 216M $37.4B +$130M $173.66 1,002
2014 Q3 219M $37.5B +$816M $161.45 898
2014 Q2 223M $33.8B -$1.14B $151.38 883
2014 Q1 233M $30.9B -$818M $132.56 863