Synopsys Inc (SNPS)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$125M
Holdings value Q1 2024
$71.2B
Value change Q1 2024
-$938M
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1257
Number of Buys Q1 2024
628
Number of Sells Q1 2024
-478
Average Buys Q1 2024 %
+0.02%
Average Sells Q1 2024 %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 124M $70.9B -$813M $571.50 1,205
2023 Q4 128M $66B +$982M $514.91 1,220
2023 Q3 127M $58.5B -$161M $458.97 1,047
2023 Q2 128M $55.6B -$1.16B $435.41 1,020
2023 Q1 131M $49.6B +$862M $386.25 925
2022 Q4 132M $42.3B +$165M $319.29 931
2022 Q3 132M $40.5B -$154M $305.51 887
2022 Q2 131M $39.7B +$396M $303.70 837
2022 Q1 132M $43.7B +$608M $333.27 839
2021 Q4 130M $47.9B -$321M $368.50 844
2021 Q3 131M $39.2B +$412M $299.41 783
2021 Q2 131M $36.1B +$77.8M $275.79 758
2021 Q1 131M $32.4B +$66.2M $247.78 724
2020 Q4 135M $34.8B -$16.9M $259.24 724
2020 Q3 135M $28.9B -$245M $213.98 662
2020 Q2 136M $26.6B +$342M $195.00 640
2020 Q1 135M $17.4B +$605M $128.79 615
2019 Q4 132M $18.4B +$39.5M $139.20 633
2019 Q3 134M $18.4B -$59.6M $137.25 616
2019 Q2 136M $17.4B +$262M $128.69 591
2019 Q1 138M $15.9B +$576M $115.15 540
2018 Q4 135M $11.4B +$159M $84.24 534
2018 Q3 134M $13.2B +$288M $98.61 550
2018 Q2 134M $11.4B +$241M $85.57 520
2018 Q1 133M $11.1B +$89.5M $83.24 523
2017 Q4 136M $11.6B -$80.5M $85.24 519
2017 Q3 137M $11B +$196M $80.53 470
2017 Q2 135M $9.86B +$20.5M $72.93 458
2017 Q1 139M $10B +$1.59B $72.13 447
2016 Q4 134M $7.87B -$110M $58.86 421
2016 Q3 137M $8.1B -$26.6M $59.35 407
2016 Q2 139M $7.52B +$46.9M $54.08 373
2016 Q1 140M $6.69B +$4.68M $48.44 363
2015 Q4 139M $6.36B +$49.5M $45.61 364
2015 Q3 140M $6.45B -$37.2M $46.18 350
2015 Q2 141M $7.07B +$126M $50.65 325
2015 Q1 140M $6.46B -$59.8M $46.32 321
2014 Q4 142M $6.17B +$27.8M $43.47 325
2014 Q3 142M $5.62B +$122M $39.70 308
2014 Q2 140M $5.42B +$167M $38.82 307
2014 Q1 139M $5.31B +$48.7M $38.41 308