ZEBRA TECHNOLOGIES CORP - CL A (ZBRA)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A
Shares, excl. options Q2 2024
46.8M
Holdings value Q2 2024
$14.4B
Value change Q2 2024
+$37.9M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
678
Number of buys Q2 2024
97
Number of sells Q2 2024
-84
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 2.61M $967M +$59.5M $370.32 214
2024 Q2 46.8M $14.4B +$37.9M $308.93 683
2024 Q1 46.8M $14.1B +$71.6M $301.44 642
2023 Q4 46.6M $12.7B +$457M $273.33 645
2023 Q3 45M $10.6B +$208M $236.53 632
2023 Q2 44.2M $13B -$97.3M $295.83 695
2023 Q1 44.4M $14.1B -$64.9M $318.00 714
2022 Q4 44.7M $11.5B +$31.7M $256.41 676
2022 Q3 44.5M $11.7B -$12.9M $262.01 693
2022 Q2 44.3M $13B -$241M $293.95 730
2022 Q1 45M $18.6B -$293M $413.70 771
2021 Q4 45.2M $26.8B +$69.1M $595.20 871
2021 Q3 44.8M $23B -$432M $515.42 802
2021 Q2 45.6M $24B +$184M $529.49 767
2021 Q1 45.2M $21.8B -$17.9M $485.18 768
2020 Q4 45.2M $17.4B -$368M $384.33 704
2020 Q3 46.2M $11.7B -$264M $252.46 621
2020 Q2 47.2M $12.1B +$97.8M $255.95 601
2020 Q1 46.8M $8.59B -$45.7M $183.60 535
2019 Q4 46.9M $12B -$88.6M $255.44 601
2019 Q3 47.4M $9.78B -$210M $206.37 518
2019 Q2 48.4M $10.1B +$382M $209.49 508
2019 Q1 47.3M $9.91B +$97.2M $209.53 515
2018 Q4 46.9M $7.47B -$39.9M $159.23 448
2018 Q3 47M $8.32B +$37.6M $176.83 399
2018 Q2 47M $6.74B -$57.1M $143.25 382
2018 Q1 47.6M $6.63B -$8.18M $139.19 348
2017 Q4 48.1M $4.99B -$25M $103.80 313
2017 Q3 48.1M $5.22B +$2.68M $108.58 307
2017 Q2 48.3M $4.85B +$2.69M $100.52 295
2017 Q1 49.9M $4.55B +$196M $91.25 280
2016 Q4 51.4M $4.41B -$129M $85.76 266
2016 Q3 53M $3.69B +$57.9M $69.61 244
2016 Q2 49.8M $2.5B +$23.5M $50.10 234
2016 Q1 53.2M $3.76B +$41.2M $69.00 231
2015 Q4 47.1M $3.28B -$17.7M $69.65 240
2015 Q3 51.8M $3.97B +$99.1M $76.55 251
2015 Q2 49.9M $5.54B -$30M $111.05 273
2015 Q1 49.9M $4.53B +$221M $90.71 253
2014 Q4 48.2M $3.73B +$157M $77.41 253
2014 Q3 46.3M $3.28B +$125M $70.97 236
2014 Q2 44.4M $3.65B +$153M $82.32 253
2014 Q1 41.9M $2.91B +$3.15M $69.41 245