Check Point Software Technologies Ltd (CHKP)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / ORD
Shares, Excl. Options Q1 2024
$71.1M
Holdings value Q1 2024
$11.7B
Value change Q1 2024
-$531M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
701
Number of Buys Q1 2024
268
Number of Sells Q1 2024
-298
Average Buys Q1 2024 %
+0.003%
Average Sells Q1 2024 %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 71.1M $11.7B -$531M $164.01 675
2023 Q4 75M $11.4B -$651M $152.79 659
2023 Q3 79.1M $10.5B -$156M $133.28 624
2023 Q2 81.8M $10.3B +$354M $125.62 593
2023 Q1 82.3M $10.6B +$374M $130.00 595
2022 Q4 82.3M $10.4B +$268M $126.16 619
2022 Q3 82M $9.19B +$185M $112.02 591
2022 Q2 83.6M $10.2B -$262M $121.78 596
2022 Q1 87.7M $12.2B -$194M $138.26 629
2021 Q4 89.9M $10.4B -$22.1M $116.56 620
2021 Q3 91M $10.2B +$55.7M $113.04 602
2021 Q2 91.6M $10.6B -$384M $116.13 615
2021 Q1 95.4M $10.7B -$182M $111.97 629
2020 Q4 100M $13.3B -$200M $132.91 656
2020 Q3 103M $12.3B -$210M $120.34 612
2020 Q2 104M $11.3B +$501M $107.43 596
2020 Q1 101M $10.1B -$511M $100.54 602
2019 Q4 110M $12.2B +$580M $110.96 673
2019 Q3 105M $11.5B +$102M $109.50 636
2019 Q2 109M $12.6B +$232M $115.61 658
2019 Q1 110M $13.9B -$49.5M $126.49 661
2018 Q4 111M $11.4B +$205M $102.65 656
2018 Q3 110M $12.9B +$281M $117.67 627
2018 Q2 111M $10.8B +$772M $97.68 584
2018 Q1 109M $10.7B +$237M $99.34 609
2017 Q4 110M $11.4B -$292M $103.62 631
2017 Q3 114M $12.8B +$349M $114.02 597
2017 Q2 113M $12.3B +$34.3M $109.08 616
2017 Q1 114M $11.7B +$75.8M $102.66 595
2016 Q4 121M $10.2B +$322M $84.46 565
2016 Q3 123M $9.48B +$28.4M $77.61 555
2016 Q2 127M $10.1B -$187M $79.68 577
2016 Q1 132M $11.5B +$363M $87.47 562
2015 Q4 130M $10.5B +$619M $81.38 556
2015 Q3 126M $9.95B +$507M $79.33 503
2015 Q2 125M $9.88B -$24.7M $79.55 506
2015 Q1 127M $10.4B +$55.9M $81.97 485
2014 Q4 132M $10.3B +$232M $78.57 460
2014 Q3 133M $9.17B -$66M $69.24 404
2014 Q2 136M $9.08B +$75.6M $67.03 403
2014 Q1 138M $9.27B +$44M $67.63 417