NORDSON CORP - COM (NDSN)

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
42.1M
Holdings value Q2 2024
$9.77B
Value change Q2 2024
+$297M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
581
Number of buys Q2 2024
91
Number of sells Q2 2024
-68
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 2.58M $677M -$39.3M $262.63 190
2024 Q2 42.1M $9.77B +$297M $231.94 583
2024 Q1 40.8M $11.2B -$161M $274.54 581
2023 Q4 40.8M $10.8B +$65.5M $264.16 569
2023 Q3 40.7M $9.09B -$63.1M $223.17 553
2023 Q2 41.1M $10.2B -$75.3M $248.18 546
2023 Q1 41.4M $9.21B +$57.6M $222.26 527
2022 Q4 41.2M $9.79B +$302M $237.72 537
2022 Q3 40.9M $8.69B -$21.6M $212.27 517
2022 Q2 41.2M $8.33B +$209M $202.44 517
2022 Q1 40.7M $9.24B +$106M $227.08 504
2021 Q4 40.2M $10.3B +$34.7M $255.27 499
2021 Q3 40.1M $9.54B +$17.8M $238.15 471
2021 Q2 39.8M $8.74B -$4.52M $219.51 456
2021 Q1 39.9M $7.93B +$16.5M $198.68 434
2020 Q4 39.8M $7.99B -$49.7M $200.95 407
2020 Q3 40.2M $7.71B -$154M $191.82 392
2020 Q2 41.1M $7.79B +$161M $189.71 386
2020 Q1 40.4M $5.45B +$63.8M $135.07 338
2019 Q4 39.8M $6.48B -$22M $162.84 362
2019 Q3 40M $5.85B -$6.15M $146.26 313
2019 Q2 40M $5.65B +$40.2M $141.30 325
2019 Q1 40M $5.3B -$10.9M $132.52 318
2018 Q4 40.1M $4.78B +$20.8M $119.35 309
2018 Q3 39.8M $5.52B +$29.6M $138.90 312
2018 Q2 39.6M $5.08B +$50.2M $128.41 297
2018 Q1 39.1M $5.33B +$109M $136.34 313
2017 Q4 38.7M $5.67B +$32.6M $146.40 331
2017 Q3 38.5M $4.56B +$15.8M $118.50 296
2017 Q2 38.3M $4.64B +$166M $121.32 314
2017 Q1 38.4M $4.72B +$557M $122.84 306
2016 Q4 38.1M $4.27B +$34.3M $112.05 307
2016 Q3 36.6M $3.65B +$36.1M $99.63 270
2016 Q2 37.3M $3.12B +$59.2M $83.61 264
2016 Q1 37.3M $2.83B -$11.3M $76.04 243
2015 Q4 37.6M $2.41B -$91.5M $64.15 221
2015 Q3 39M $2.46B -$81.6M $62.94 228
2015 Q2 40.1M $3.12B +$19.3M $77.89 213
2015 Q1 39.8M $3.12B -$138M $78.34 216
2014 Q4 41.6M $3.25B +$60.7M $77.96 220
2014 Q3 42M $3.2B -$18.3M $76.07 230
2014 Q2 42.2M $3.38B -$5.75M $80.19 231
2014 Q1 42.4M $2.99B -$564M $70.49 221