XPO, Inc. (XPO)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$109M
Holdings value Q1 2024
$13.3B
Value change Q1 2024
-$324M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
544
Number of Buys Q1 2024
231
Number of Sells Q1 2024
-219
Average Buys Q1 2024 %
+0.004%
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 109M $13.3B -$324M $122.03 535
2023 Q4 112M $9.83B -$198M $87.59 492
2023 Q3 115M $8.6B -$45.7M $74.66 449
2023 Q2 116M $6.87B +$930M $59.00 446
2023 Q1 104M $3.32B +$80.4M $31.90 394
2022 Q4 108M $3.59B +$234M $33.29 436
2022 Q3 104M $4.65B +$370M $44.52 444
2022 Q2 97.8M $4.7B +$400M $48.16 457
2022 Q1 93.2M $6.77B +$456M $72.80 484
2021 Q4 90.2M $6.98B +$531M $77.43 506
2021 Q3 85.2M $6.78B +$354M $79.58 510
2021 Q2 87M $12.1B +$826M $139.89 586
2021 Q1 82.8M $10.2B -$96.2M $123.30 523
2020 Q4 84.1M $10B -$92.1M $119.20 505
2020 Q3 85.8M $7.25B -$130M $84.66 446
2020 Q2 88.7M $6.85B +$54.4M $77.25 420
2020 Q1 89.9M $4.41B -$263M $48.75 410
2019 Q4 90.8M $7.24B -$197M $79.70 424
2019 Q3 93.5M $6.69B -$16.7M $71.57 395
2019 Q2 97.6M $5.64B -$19M $57.81 402
2019 Q1 102M $5.5B +$104M $53.74 426
2018 Q4 112M $6.39B +$2.26M $57.04 481
2018 Q3 121M $13.8B +$381M $114.17 528
2018 Q2 119M $11.9B -$63.2M $100.18 528
2018 Q1 123M $12.5B -$405M $101.81 486
2017 Q4 127M $11.6B +$467M $91.59 448
2017 Q3 123M $8.36B +$1.3B $67.78 392
2017 Q2 106M $6.86B +$325M $64.63 349
2017 Q1 105M $5.01B +$565M $47.89 294
2016 Q4 100M $4.32B -$34.3M $43.16 286
2016 Q3 101M $3.7B +$17.6M $36.67 240
2016 Q2 104M $2.74B +$220M $26.26 213
2016 Q1 101M $3.09B +$16.1M $30.70 221
2015 Q4 102M $2.76B +$167M $27.25 242
2015 Q3 107M $2.55B +$688M $23.83 247
2015 Q2 87M $3.89B +$620M $45.18 251
2015 Q1 75.3M $3.41B +$147M $45.47 229
2014 Q4 72.8M $2.98B +$502M $40.88 211
2014 Q3 57.5M $2.16B +$384M $37.67 190
2014 Q2 52.2M $1.49B +$180M $28.62 179
2014 Q1 48.1M $1.41B +$649M $29.41 149