Workday, Inc. (WDAY)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / CL A
Shares, Excl. Options Q1 2024
$175M
Holdings value Q1 2024
$47.7B
Value change Q1 2024
-$1.43B
Grand Portfolio weight change Q1 2024
-0.003%
Number of holders
1090
Number of Buys Q1 2024
530
Number of Sells Q1 2024
-418
Average Buys Q1 2024 %
+0.011%
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 171M $46.7B -$1.24B $272.75 1,044
2023 Q4 181M $50B +$797M $276.06 1,072
2023 Q3 179M $38.5B +$564M $214.85 961
2023 Q2 177M $40B +$623M $225.89 925
2023 Q1 177M $36.5B +$1.01B $206.54 899
2022 Q4 178M $29.9B +$719M $167.33 842
2022 Q3 176M $26.9B +$124M $152.22 820
2022 Q2 178M $24.8B +$696M $139.58 803
2022 Q1 177M $42.5B +$421M $239.46 894
2021 Q4 177M $48.7B +$914M $273.18 919
2021 Q3 174M $43.5B +$786M $249.89 851
2021 Q2 173M $41.3B +$1.01B $238.74 833
2021 Q1 171M $42.4B +$1.91B $248.43 832
2020 Q4 166M $39.8B +$1.28B $239.61 829
2020 Q3 164M $35.4B +$834M $215.13 739
2020 Q2 162M $30.3B +$704M $187.36 695
2020 Q1 157M $20.8B +$853M $130.22 607
2019 Q4 154M $25.2B +$110M $164.45 638
2019 Q3 155M $26.9B +$976M $169.96 619
2019 Q2 154M $31.6B +$1.27B $205.58 646
2019 Q1 151M $29.1B -$398M $192.85 650
2018 Q4 154M $24.5B +$574M $159.68 567
2018 Q3 151M $22B +$672M $145.98 507
2018 Q2 148M $17.9B +$493M $121.12 474
2018 Q1 149M $19B +$507M $127.11 475
2017 Q4 147M $15B +$860M $101.74 430
2017 Q3 141M $14.8B +$465M $105.39 401
2017 Q2 140M $13.5B +$470M $97.00 379
2017 Q1 136M $11.4B +$843M $83.28 355
2016 Q4 133M $8.79B +$421M $66.09 326
2016 Q3 129M $11.9B +$463M $91.69 335
2016 Q2 125M $9.31B -$22.2M $74.67 327
2016 Q1 126M $9.55B +$1.24B $76.84 324
2015 Q4 113M $9.04B +$404M $79.68 328
2015 Q3 112M $7.67B +$411M $68.86 323
2015 Q2 109M $8.27B +$509M $76.39 335
2015 Q1 105M $8.83B +$730M $84.41 323
2014 Q4 101M $8.2B +$189M $81.61 340
2014 Q3 99.5M $7.93B +$391M $82.50 326
2014 Q2 95.1M $8.54B +$1.02B $89.86 326
2014 Q1 88.4M $8.18B +$1.8B $91.43 339