Accenture plc (ACN)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q4 2023
Type / Class
Equity / SHS CLASS A
Shares, Excl. Options Q4 2023
$446M
Holdings value Q4 2023
$156B
Value change Q4 2023
+$2.38B
Grand Portfolio weight change Q4 2023
+0.005%
Number of holders
2318
Number of Buys Q4 2023
1035
Number of Sells Q4 2023
-958
Average Buys Q4 2023 %
+0.014%
Average Sells Q4 2023 %
-0.014%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 449M $155B -$953M $346.61 2,250
2023 Q4 446M $156B +$2.38B $350.91 2,311
2023 Q3 446M $137B -$579M $307.11 2,150
2023 Q2 467M $144B +$2.16B $308.58 2,128
2023 Q1 462M $132B +$925M $285.81 2,073
2022 Q4 467M $129B -$387M $266.84 2,069
2022 Q3 474M $122B +$1.59B $257.30 1,978
2022 Q2 469M $130B +$880M $277.65 2,040
2022 Q1 471M $159B +$664M $337.23 2,097
2021 Q4 474M $195B +$1.66B $414.55 2,141
2021 Q3 468M $150B +$447M $319.92 1,953
2021 Q2 468M $138B -$257M $294.79 1,898
2021 Q1 470M $130B +$1.11B $276.25 1,857
2020 Q4 471M $123B +$70.1M $261.21 1,810
2020 Q3 473M $107B -$593M $225.99 1,666
2020 Q2 476M $102B +$1.07B $214.72 1,638
2020 Q1 473M $77.3B +$228M $163.26 1,547
2019 Q4 476M $100B +$865M $210.57 1,621
2019 Q3 474M $91.1B -$102M $192.35 1,505
2019 Q2 475M $87.6B +$2.87B $184.77 1,483
2019 Q1 473M $83.1B +$710M $176.02 1,442
2018 Q4 473M $66.6B -$415M $141.01 1,391
2018 Q3 475M $80.8B +$1.14B $170.20 1,345
2018 Q2 470M $76.8B +$634M $163.59 1,327
2018 Q1 475M $72.8B -$487M $153.50 1,293
2017 Q4 481M $73.6B -$227M $153.09 1,271
2017 Q3 485M $65.5B +$379M $135.07 1,150
2017 Q2 487M $60.2B +$796M $123.68 1,106
2017 Q1 483M $57.9B +$4.87B $119.88 1,109
2016 Q4 485M $56.8B +$4.26B $117.13 1,119
2016 Q3 450M $55B +$70.8M $122.17 1,054
2016 Q2 449M $50.8B +$371M $113.29 1,056
2016 Q1 447M $51.6B +$391M $115.40 1,045
2015 Q4 446M $46.6B +$349M $104.50 1,028
2015 Q3 450M $44.3B -$753M $98.26 981
2015 Q2 461M $43.6B -$351M $96.78 953
2015 Q1 467M $43.6B +$138M $93.69 908
2014 Q4 468M $41.7B +$552M $89.31 889
2014 Q3 466M $37.9B -$446M $81.32 848
2014 Q2 475M $38.4B -$116M $80.84 862
2014 Q1 479M $38.1B +$2.24B $79.72 862