Pure Storage, Inc. - CL A (PSTG)

Historical Portfolio Holders from Q4 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A
Shares, excl. options Q2 2024
274M
Holdings value Q2 2024
$17.6B
Value change Q2 2024
+$374M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
639
Number of buys Q2 2024
83
Number of sells Q2 2024
-101
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 8.9M $447M -$13.7M $50.24 171
2024 Q2 274M $17.6B +$374M $64.21 648
2024 Q1 269M $14B +$550M $51.99 544
2023 Q4 263M $9.38B +$161M $35.66 467
2023 Q3 258M $9.2B -$11.9M $35.62 466
2023 Q2 256M $9.42B +$191M $36.82 438
2023 Q1 254M $6.49B -$345M $25.51 403
2022 Q4 268M $7.17B +$315M $26.76 430
2022 Q3 257M $7.04B +$276M $27.37 382
2022 Q2 248M $6.36B +$49.7M $25.71 374
2022 Q1 245M $8.65B +$234M $35.31 381
2021 Q4 238M $7.76B +$136M $32.55 357
2021 Q3 236M $5.93B +$115M $25.16 300
2021 Q2 235M $4.59B -$66.5M $19.53 284
2021 Q1 238M $5.13B -$250M $21.54 288
2020 Q4 250M $5.66B +$342M $22.61 261
2020 Q3 236M $3.63B +$234M $15.39 233
2020 Q2 220M $3.8B +$147M $17.33 253
2020 Q1 212M $2.6B -$19.8M $12.30 214
2019 Q4 208M $3.57B +$42.6M $17.11 237
2019 Q3 208M $3.52B +$143M $16.94 231
2019 Q2 199M $3.04B +$114M $15.27 240
2019 Q1 192M $4.18B +$292M $21.79 232
2018 Q4 181M $2.9B -$4.86M $16.08 252
2018 Q3 175M $4.55B +$370M $25.95 277
2018 Q2 161M $3.85B +$701M $23.88 243
2018 Q1 133M $2.65B +$702M $19.95 226
2017 Q4 98.6M $1.56B +$181M $15.86 186
2017 Q3 81.4M $1.3B +$120M $15.99 143
2017 Q2 74.7M $956M +$63.2M $12.81 131
2017 Q1 71M $698M +$115M $9.83 132
2016 Q4 70.2M $794M +$2.27M $11.31 133
2016 Q3 98.1M $1.33B +$10.6M $13.55 114
2016 Q2 97.6M $1.06B +$165M $10.90 103
2016 Q1 81.9M $1.12B -$56M $13.69 95
2015 Q4 85.7M $1.33B +$912M $15.57 87