LAS VEGAS SANDS CORP - COM (LVS)

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
341M
Holdings value Q2 2024
$15.1B
Value change Q2 2024
+$429M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
605
Number of buys Q2 2024
72
Number of sells Q2 2024
-92
Average buys Q2 2024 %
+0%
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 7.93M $399M -$18.2M $50.34 165
2024 Q2 341M $15.1B +$429M $44.25 615
2024 Q1 331M $17.1B -$394M $51.70 651
2023 Q4 339M $16.7B +$2.27B $49.21 665
2023 Q3 294M $13.5B -$517M $45.84 627
2023 Q2 303M $17.6B -$259M $58.00 675
2023 Q1 306M $17.6B -$250M $57.45 662
2022 Q4 314M $15.1B +$349M $48.07 617
2022 Q3 308M $11.6B +$49.4M $37.52 545
2022 Q2 308M $10.3B +$649M $33.59 542
2022 Q1 289M $11.2B +$513M $38.87 563
2021 Q4 276M $10.4B +$77.4M $37.64 556
2021 Q3 275M $10.1B -$685M $36.60 577
2021 Q2 284M $15B -$746M $52.69 652
2021 Q1 296M $18B +$204M $60.76 694
2020 Q4 293M $17.5B +$188M $59.60 683
2020 Q3 291M $13.6B +$468M $46.66 612
2020 Q2 282M $12.8B -$564M $45.54 620
2020 Q1 294M $12.5B +$166M $42.47 575
2019 Q4 285M $19.7B +$432M $69.04 678
2019 Q3 281M $16.3B -$216M $57.76 599
2019 Q2 284M $16.8B +$90.7M $59.09 615
2019 Q1 285M $17.4B +$56.5M $60.96 608
2018 Q4 284M $14.8B -$533M $52.05 593
2018 Q3 294M $17.5B -$862M $59.33 624
2018 Q2 307M $23.5B +$578M $76.36 654
2018 Q1 300M $21.5B -$290M $71.90 629
2017 Q4 304M $21.1B +$281M $69.49 608
2017 Q3 300M $19.3B -$308M $64.16 539
2017 Q2 305M $19.5B -$170M $63.89 518
2017 Q1 307M $17.5B +$1.21B $57.07 509
2016 Q4 302M $16.1B -$1.04B $53.41 514
2016 Q3 321M $18.5B +$921M $57.54 449
2016 Q2 306M $13.3B -$314M $43.49 438
2016 Q1 311M $15.8B -$285M $51.68 471
2015 Q4 315M $13.8B -$193M $43.84 437
2015 Q3 321M $12.2B -$545M $37.97 418
2015 Q2 331M $17.5B +$484M $52.57 451
2015 Q1 322M $17.7B +$657M $55.04 483
2014 Q4 309M $18B -$377M $58.16 502
2014 Q3 314M $19.5B -$218M $62.21 510
2014 Q2 316M $24B +$94.9M $76.22 554
2014 Q1 314M $25.3B +$396M $80.78 563