Veeva Systems Inc (VEEV)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / CL A COM
Shares, Excl. Options Q1 2024
$124M
Holdings value Q1 2024
$28.6B
Value change Q1 2024
-$222M
Grand Portfolio weight change Q1 2024
0%
Number of holders
936
Number of Buys Q1 2024
439
Number of Sells Q1 2024
-352
Average Buys Q1 2024 %
+0.014%
Average Sells Q1 2024 %
-0.004%
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 $28.6B -$222M $231.69 901
2023 Q4 126M $24.2B -$745M $192.52 872
2023 Q3 129M $26.3B +$190M $203.45 828
2023 Q2 128M $25.4B +$768M $197.73 822
2023 Q1 127M $23.4B +$711M $183.79 795
2022 Q4 126M $20.4B +$140M $161.38 777
2022 Q3 126M $20.8B +$82.6K $164.88 740
2022 Q2 124M $24.6B +$383M $198.04 753
2022 Q1 124M $26.3B +$613M $212.46 748
2021 Q4 122M $31.1B +$7.46M $255.48 861
2021 Q3 122M $35B +$552M $288.17 841
2021 Q2 120M $37.4B +$404M $310.95 844
2021 Q1 119M $31.1B +$621M $261.24 787
2020 Q4 119M $32.5B +$400M $272.25 818
2020 Q3 118M $33.2B -$539M $281.19 774
2020 Q2 120M $28.3B -$47.7M $234.42 710
2020 Q1 122M $19B +$949M $156.37 627
2019 Q4 117M $16.4B +$132M $140.66 655
2019 Q3 116M $17.7B +$497M $152.69 631
2019 Q2 115M $18.6B +$265M $162.11 658
2019 Q1 116M $14.7B +$407M $126.86 586
2018 Q4 114M $10.2B +$474M $89.32 513
2018 Q3 111M $12.1B +$228M $108.87 488
2018 Q2 110M $8.42B +$427M $76.86 447
2018 Q1 106M $7.79B +$422M $73.02 436
2017 Q4 103M $5.72B +$239M $55.28 393
2017 Q3 101M $5.69B +$171M $56.41 386
2017 Q2 99.8M $6.11B -$76.8M $61.31 382
2017 Q1 104M $5.31B +$583M $51.28 303
2016 Q4 98.4M $4B +$199M $40.70 309
2016 Q3 94.4M $3.89B -$79.2M $41.28 283
2016 Q2 96.8M $3.29B +$395M $34.12 239
2016 Q1 89.3M $2.23B +$149M $25.04 197
2015 Q4 85M $2.45B +$304M $28.85 205
2015 Q3 76.5M $1.79B +$113M $23.41 180
2015 Q2 72.6M $2.02B +$268M $28.03 186
2015 Q1 66.4M $1.69B +$442M $25.53 204
2014 Q4 58M $1.53B +$65.9M $26.41 171
2014 Q3 56.1M $1.58B +$253M $28.17 152
2014 Q2 48.4M $1.23B +$384M $25.45 134
2014 Q1 35.9M $958M +$505M $26.70 129