Rollins Inc (ROL)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$237M
Holdings value Q1 2024
$10.9B
Value change Q1 2024
-$58.7M
Grand Portfolio weight change Q1 2024
0%
Number of holders
640
Number of Buys Q1 2024
288
Number of Sells Q1 2024
-254
Average Buys Q1 2024 %
+0.003%
Average Sells Q1 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 237M $10.9B -$58.7M $46.27 601
2023 Q4 245M $10.6B +$332M $43.67 597
2023 Q3 241M $8.98B +$1.13B $37.33 550
2023 Q2 210M $8.92B +$205M $42.83 571
2023 Q1 207M $7.71B -$104M $37.53 544
2022 Q4 214M $7.82B +$287M $36.54 552
2022 Q3 206M $7.17B +$171M $34.68 503
2022 Q2 202M $7.03B +$138M $34.92 470
2022 Q1 199M $6.91B +$414M $35.05 458
2021 Q4 192M $6.48B +$10.8M $34.21 475
2021 Q3 193M $7.25B +$82M $35.33 460
2021 Q2 192M $6.47B -$31.9M $34.20 483
2021 Q1 196M $6.63B +$106M $34.42 482
2020 Q4 194M $7.45B +$2.57B $39.07 506
2020 Q3 128M $6.86B -$146M $54.19 460
2020 Q2 131M $5.52B -$122M $42.39 423
2020 Q1 135M $4.88B +$61.8M $36.14 393
2019 Q4 136M $4.47B -$37.2M $33.16 402
2019 Q3 140M $4.77B +$23.5M $34.07 387
2019 Q2 140M $5.01B +$456M $35.87 400
2019 Q1 134M $5.57B +$158M $41.62 441
2018 Q4 131M $4.71B +$1.64B $36.10 415
2018 Q3 85.8M $5.2B +$137M $60.69 378
2018 Q2 83.9M $4.46B +$126M $52.58 334
2018 Q1 83.7M $4.27B +$126M $51.03 329
2017 Q4 83M $3.86B +$47.9M $46.53 325
2017 Q3 82.6M $3.81B +$42.6M $46.14 302
2017 Q2 82M $3.34B +$168M $40.71 304
2017 Q1 80.6M $2.99B +$229M $37.13 270
2016 Q4 83M $2.8B +$41.3M $33.78 256
2016 Q3 82.6M $2.42B +$153M $29.28 234
2016 Q2 78.9M $2.31B +$63.1M $29.27 239
2016 Q1 77.8M $2.15B +$127M $27.12 247
2015 Q4 75.9M $1.96B +$3.54M $25.90 232
2015 Q3 76M $2.03B +$7.68M $26.87 227
2015 Q2 76.4M $2.14B +$129M $28.53 210
2015 Q1 73.7M $1.82B +$615M $24.73 199
2014 Q4 49.1M $1.62B +$3.9M $33.10 203
2014 Q3 49M $1.43B -$16.9M $29.28 189
2014 Q2 49.8M $1.49B -$9.21M $30.00 189
2014 Q1 50.2M $1.52B +$48.6M $30.24 184