Parker Hannifin Corp (PH)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$101M
Holdings value Q1 2024
$55.9B
Value change Q1 2024
-$914M
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1405
Number of Buys Q1 2024
649
Number of Sells Q1 2024
-530
Average Buys Q1 2024 %
+0.008%
Average Sells Q1 2024 %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 99.8M $55.4B -$954M $555.79 1,364
2023 Q4 104M $47.7B +$464M $460.70 1,318
2023 Q3 104M $40.5B -$566M $389.52 1,198
2023 Q2 106M $41.1B +$289M $390.04 1,148
2023 Q1 105M $35.2B +$628M $336.11 1,102
2022 Q4 106M $30.9B +$757M $291.00 1,041
2022 Q3 106M $25.8B -$27.6M $242.31 965
2022 Q2 107M $26.2B +$1.02B $246.05 929
2022 Q1 105M $29.8B +$590M $283.76 991
2021 Q4 104M $33.8B +$585M $318.12 995
2021 Q3 103M $28.8B -$257M $279.62 909
2021 Q2 105M $32.1B +$540M $307.11 955
2021 Q1 104M $32.9B +$996M $315.43 926
2020 Q4 104M $28.1B +$566M $272.41 922
2020 Q3 102M $20.7B +$985M $202.34 813
2020 Q2 103M $18.8B +$106M $183.27 764
2020 Q1 103M $13.4B +$283M $129.73 712
2019 Q4 104M $21.5B +$98.5M $205.82 806
2019 Q3 105M $18.9B -$259M $180.61 728
2019 Q2 106M $18B +$1.26B $170.01 757
2019 Q1 105M $17.9B +$62.5M $171.62 735
2018 Q4 105M $15.7B -$259M $149.14 720
2018 Q3 108M $19.8B +$97.2M $183.93 735
2018 Q2 109M $16.8B +$991M $155.85 708
2018 Q1 110M $18.7B +$295M $171.03 767
2017 Q4 109M $21.6B +$709M $199.58 746
2017 Q3 107M $18.7B -$45.4M $175.02 690
2017 Q2 109M $17.4B +$546M $159.82 701
2017 Q1 109M $17.4B +$1.18B $160.32 700
2016 Q4 110M $15.2B +$505M $140.00 680
2016 Q3 107M $13.4B -$136M $125.53 624
2016 Q2 109M $11.8B -$366M $108.05 607
2016 Q1 115M $12.3B -$98.5M $111.08 584
2015 Q4 114M $11B -$585M $96.98 563
2015 Q3 122M $11.8B -$22.6M $97.30 553
2015 Q2 122M $14B +$287M $116.33 594
2015 Q1 121M $14.4B +$776M $118.78 582
2014 Q4 116M $14.9B -$170M $128.95 585
2014 Q3 120M $13.7B +$508M $114.15 564
2014 Q2 118M $14.8B +$233M $125.73 594
2014 Q1 118M $14B +$72.5M $119.71 595