Pfizer Inc (PFE)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$3.54B
Holdings value Q1 2024
$98.2B
Value change Q1 2024
-$4.71B
Grand Portfolio weight change Q1 2024
-0.01%
Number of holders
2914
Number of Buys Q1 2024
1288
Number of Sells Q1 2024
-1385
Average Buys Q1 2024 %
+0.032%
Average Sells Q1 2024 %
-0.023%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 3.51B $97.3B -$4.73B $27.75 2,756
2023 Q4 3.77B $109B +$667M $28.79 2,947
2023 Q3 3.8B $126B -$598M $33.17 2,940
2023 Q2 3.84B $142B +$40.6M $36.68 3,070
2023 Q1 3.83B $158B +$530M $40.80 3,135
2022 Q4 3.9B $204B +$2.64B $51.24 3,300
2022 Q3 3.86B $169B +$1.16B $43.76 3,127
2022 Q2 3.84B $201B +$5.92B $52.43 3,212
2022 Q1 3.78B $196B +$3.11B $51.77 3,256
2021 Q4 3.76B $222B +$3.06B $59.05 3,327
2021 Q3 3.7B $160B -$128M $43.01 2,869
2021 Q2 3.7B $145B +$1.7B $39.16 2,791
2021 Q1 3.66B $133B -$721M $36.23 2,738
2020 Q4 3.7B $136B -$3.53B $36.81 2,733
2020 Q3 3.81B $140B -$3.77B $36.70 2,579
2020 Q2 3.92B $128B -$510M $32.70 2,514
2020 Q1 3.96B $129B -$443M $32.64 2,497
2019 Q4 3.98B $156B +$1.51B $39.18 2,583
2019 Q3 3.95B $142B -$2.04B $35.93 2,389
2019 Q2 4.03B $176B +$3.37B $43.32 2,444
2019 Q1 4.07B $173B -$2.23B $42.47 2,451
2018 Q4 4.14B $196B -$1.06B $43.65 2,468
2018 Q3 4.19B $185B +$874M $44.07 2,330
2018 Q2 4.18B $152B +$2.3B $36.28 2,264
2018 Q1 4.2B $149B -$1.92B $35.49 2,298
2017 Q4 4.26B $154B +$1.81B $36.22 2,316
2017 Q3 4.23B $151B +$2.51B $35.70 2,111
2017 Q2 4.18B $141B -$1.07B $33.59 2,123
2017 Q1 4.22B $145B +$12.9B $34.21 2,154
2016 Q4 4.31B $140B +$281M $32.48 2,143
2016 Q3 4.29B $145B +$420M $33.87 2,044
2016 Q2 4.3B $151B -$7.94B $35.21 2,065
2016 Q1 4.62B $136B +$3.69B $29.64 2,054
2015 Q4 4.5B $145B +$3.05B $32.28 2,060
2015 Q3 4.41B $139B +$2.82B $31.41 1,952
2015 Q2 4.36B $143B -$2.1B $33.53 1,963
2015 Q1 4.45B $155B +$2.86B $34.79 1,950
2014 Q4 4.38B $137B +$4.14B $31.15 1,934
2014 Q3 4.25B $126B -$3.58B $29.57 1,816
2014 Q2 4.4B $130B +$3B $29.68 1,814
2014 Q1 4.33B $139B +$27.2M $32.12 1,844