Leidos Holdings, Inc. (LDOS)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$98.6M
Holdings value Q1 2024
$12.9B
Value change Q1 2024
-$245M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
685
Number of Buys Q1 2024
327
Number of Sells Q1 2024
-251
Average Buys Q1 2024 %
+0.002%
Average Sells Q1 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 98.6M $12.9B -$245M $131.09 649
2023 Q4 101M $10.9B -$22M $108.24 620
2023 Q3 102M $9.42B +$54M $92.16 551
2023 Q2 102M $9.03B +$208M $88.48 533
2023 Q1 103M $9.54B +$108M $92.06 561
2022 Q4 105M $11B -$4.1M $105.19 590
2022 Q3 105M $9.19B -$24.5M $87.47 536
2022 Q2 105M $10.5B -$346M $100.71 528
2022 Q1 109M $11.8B +$326M $108.02 534
2021 Q4 108M $9.6B -$181M $88.90 524
2021 Q3 111M $10.7B +$363M $96.13 507
2021 Q2 109M $11B -$23.3M $101.10 534
2021 Q1 109M $10.5B +$119M $96.28 522
2020 Q4 109M $11.5B +$552M $105.12 577
2020 Q3 107M $9.51B +$194M $89.15 563
2020 Q2 107M $9.97B +$89M $93.67 600
2020 Q1 107M $9.82B +$45.5M $91.65 579
2019 Q4 107M $10.5B +$192M $97.89 550
2019 Q3 106M $9.12B -$28.7M $85.88 498
2019 Q2 108M $8.6B +$183M $79.85 475
2019 Q1 108M $6.94B -$47.2M $64.09 424
2018 Q4 110M $5.83B +$82.3M $52.72 430
2018 Q3 110M $7.63B +$126M $69.16 444
2018 Q2 111M $6.54B +$272M $59.00 441
2018 Q1 112M $7.34B +$125M $65.40 473
2017 Q4 111M $7.15B -$23.6M $64.57 448
2017 Q3 113M $6.67B +$37.9M $59.22 404
2017 Q2 114M $5.9B +$214M $51.69 385
2017 Q1 113M $5.75B +$544M $51.14 377
2016 Q4 114M $5.82B +$360M $51.14 382
2016 Q3 113M $4.9B +$3.15B $43.28 356
2016 Q2 45M $2.15B +$140M $47.87 291
2016 Q1 42.6M $2.14B +$158M $50.32 272
2015 Q4 40.9M $2.3B +$81M $56.26 275
2015 Q3 39.9M $1.65B +$96M $41.31 244
2015 Q2 39.7M $1.58B -$45.4M $40.37 237
2015 Q1 41.6M $1.75B +$60M $41.96 233
2014 Q4 41.5M $1.81B +$208M $43.52 241
2014 Q3 38M $1.31B +$65.1M $34.33 207
2014 Q2 38.3M $1.47B -$59.4M $38.34 226
2014 Q1 44.8M $1.59B -$55.2M $35.37 254