Liberty Broadband Corp (LBRDK)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM SER C
Shares, Excl. Options Q1 2024
$109M
Holdings value Q1 2024
$6.24B
Value change Q1 2024
-$443M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
494
Number of Buys Q1 2024
184
Number of Sells Q1 2024
-222
Average Buys Q1 2024 %
+0.011%
Average Sells Q1 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 109M $6.24B -$443M $57.23 427
2023 Q4 114M $9.15B +$61.2M $80.59 463
2023 Q3 113M $10.3B +$15.6M $91.32 472
2023 Q2 113M $9.06B -$10.6M $80.11 486
2023 Q1 113M $9.26B -$188M $81.70 505
2022 Q4 119M $9.09B +$507M $76.27 507
2022 Q3 115M $8.52B -$187M $73.80 494
2022 Q2 123M $14.2B -$370M $115.64 535
2022 Q1 128M $17.3B -$363M $135.32 566
2021 Q4 132M $21.2B -$555M $161.10 601
2021 Q3 136M $23.5B -$600M $172.70 579
2021 Q2 140M $24.4B -$1.03B $173.66 572
2021 Q1 148M $22.2B +$235M $150.15 564
2020 Q4 150M $23.7B +$7.58B $158.37 591
2020 Q3 101M $14.5B +$271M $142.87 459
2020 Q2 99.5M $12.3B +$45.5M $123.96 443
2020 Q1 99.6M $11B +$18.2M $110.72 425
2019 Q4 101M $12.7B +$62.4M $125.75 431
2019 Q3 100M $10.5B +$143M $104.67 379
2019 Q2 100M $10.4B +$147M $104.22 392
2019 Q1 104M $9.55B +$105M $91.74 385
2018 Q4 104M $7.49B -$85.5M $72.03 358
2018 Q3 106M $8.93B +$36.6M $84.30 356
2018 Q2 106M $8.07B +$1.35B $75.72 350
2018 Q1 101M $8.63B +$308M $85.69 355
2017 Q4 100M $8.51B +$187M $85.16 379
2017 Q3 99.3M $9.46B +$311M $95.30 333
2017 Q2 97.5M $8.46B +$57M $86.75 312
2017 Q1 97.7M $8.44B +$523M $86.40 317
2016 Q4 98.9M $7.33B -$31.5M $74.07 312
2016 Q3 101M $7.21B +$24M $71.48 304
2016 Q2 102M $6.1B +$2.36B $60.00 256
2016 Q1 63.5M $3.68B +$283M $57.95 254
2015 Q4 59.8M $3.1B +$32.1M $51.86 236
2015 Q3 58.5M $2.99B +$126M $51.17 231
2015 Q2 59M $3.01B +$147M $51.16 232
2015 Q1 59.4M $3.36B +$921M $56.60 237
2014 Q4 44.6M $2.22B +$2.17B $49.82 249
2014 Q1 802 $45.4K $0 $56.60 1