US Foods Holding Corp. - COM (USFD)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
246M
Holdings value Q2 2024
$13B
Value change Q2 2024
+$247M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
446
Number of buys Q2 2024
72
Number of sells Q2 2024
-33
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 6.74M $414M +$106M $61.50 129
2024 Q2 246M $13B +$247M $52.98 449
2024 Q1 241M $13B -$31.8M $53.97 439
2023 Q4 242M $11B -$62.3M $45.41 418
2023 Q3 244M $9.7B -$42.3M $39.70 391
2023 Q2 244M $10.7B +$424M $44.00 390
2023 Q1 236M $8.71B +$609M $36.94 356
2022 Q4 219M $7.46B -$4.79M $34.02 316
2022 Q3 220M $5.83B +$7.4M $26.44 282
2022 Q2 220M $6.73B -$79.2M $30.68 285
2022 Q1 222M $8.35B +$135M $37.63 305
2021 Q4 218M $7.6B +$238M $34.83 303
2021 Q3 213M $7.39B +$45.4M $34.66 296
2021 Q2 210M $8.06B +$140M $38.36 288
2021 Q1 208M $7.93B +$65.6M $38.12 300
2020 Q4 206M $6.85B +$183M $33.31 305
2020 Q3 200M $4.45B -$40.5M $22.22 284
2020 Q2 203M $4B -$5.31M $19.72 268
2020 Q1 204M $3.61B -$488M $17.71 278
2019 Q4 209M $8.75B +$13.9M $41.89 322
2019 Q3 209M $8.57B -$116M $41.10 322
2019 Q2 212M $7.58B +$37M $35.76 285
2019 Q1 213M $7.44B -$32.2M $34.91 298
2018 Q4 214M $6.77B -$207M $31.64 292
2018 Q3 221M $6.81B -$87.5M $30.82 283
2018 Q2 220M $8.34B +$113M $37.82 301
2018 Q1 219M $7.16B +$64.3M $32.77 290
2017 Q4 215M $6.86B -$158M $31.93 262
2017 Q3 221M $5.89B -$26.7M $26.70 225
2017 Q2 222M $6.03B -$5.56M $27.22 200
2017 Q1 221M $6.18B +$80.5M $27.98 154
2016 Q4 221M $6.07B +$22.7M $27.48 150
2016 Q3 221M $5.21B +$2.05B $23.61 127
2016 Q2 134M $3.24B +$3.24B $24.24 112
2016 Q1 699 $24K $0 $34.33 1