Zoetis Inc. (ZTS)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q4 2023
Type / Class
Equity / CL A
Shares, Excl. Options Q4 2023
$412M
Holdings value Q4 2023
$81.3B
Value change Q4 2023
+$1.16B
Grand Portfolio weight change Q4 2023
+0.003%
Number of holders
1759
Number of Buys Q4 2023
881
Number of Sells Q4 2023
-662
Average Buys Q4 2023 %
+0.014%
Average Sells Q4 2023 %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 401M $67.8B -$1.67B $169.21 1,643
2023 Q4 412M $81.3B +$1.16B $197.37 1,724
2023 Q3 415M $72.1B +$591M $173.98 1,618
2023 Q2 411M $70.9B -$763M $172.21 1,620
2023 Q1 416M $69.4B +$336M $166.44 1,554
2022 Q4 424M $62.3B +$245M $146.55 1,527
2022 Q3 426M $63.2B +$21.2M $148.29 1,507
2022 Q2 427M $73.2B +$627M $171.89 1,565
2022 Q1 429M $81B +$220M $188.59 1,640
2021 Q4 429M $104B -$590M $244.03 1,685
2021 Q3 429M $83.2B +$234M $194.14 1,488
2021 Q2 429M $79.9B -$350M $186.36 1,465
2021 Q1 432M $68.1B +$259M $157.48 1,432
2020 Q4 432M $71.5B -$470M $165.50 1,435
2020 Q3 436M $72.1B -$1.23B $165.37 1,338
2020 Q2 444M $60.8B +$972M $137.04 1,276
2020 Q1 438M $51.6B +$622M $117.69 1,227
2019 Q4 435M $57.5B +$600M $132.35 1,217
2019 Q3 432M $53.8B -$38.2M $124.59 1,141
2019 Q2 434M $49.3B +$1.32B $113.49 1,103
2019 Q1 437M $44B +$565M $100.67 1,070
2018 Q4 436M $37.3B +$4.65M $85.54 1,061
2018 Q3 437M $40B +$252M $91.56 1,008
2018 Q2 437M $37.2B +$152M $85.19 979
2018 Q1 441M $36.8B -$602M $83.51 950
2017 Q4 450M $32.4B -$568M $72.04 888
2017 Q3 459M $29.2B +$210M $63.76 808
2017 Q2 462M $28.8B -$206M $62.38 785
2017 Q1 468M $25B +$1.64B $53.37 755
2016 Q4 467M $25B +$356M $53.53 719
2016 Q3 468M $23.8B +$167M $52.01 675
2016 Q2 467M $21.7B +$70.6M $47.46 661
2016 Q1 471M $20.2B +$590M $44.33 643
2015 Q4 460M $22.1B +$472M $47.92 672
2015 Q3 464M $19.1B +$577M $41.18 650
2015 Q2 462M $22B +$379M $48.22 676
2015 Q1 458M $21.2B -$27.6M $46.29 642
2014 Q4 463M $19.9B +$67M $43.03 619
2014 Q3 470M $17.3B +$523M $36.95 532
2014 Q2 460M $14.9B +$174M $32.27 540
2014 Q1 455M $13.1B +$472M $28.94 513