CyberArk Software Ltd. (CYBR)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / SHS
Shares, Excl. Options Q1 2024
$38.1M
Holdings value Q1 2024
$10.1B
Value change Q1 2024
-$35.4M
Grand Portfolio weight change Q1 2024
0%
Number of holders
543
Number of Buys Q1 2024
272
Number of Sells Q1 2024
-204
Average Buys Q1 2024 %
+0.006%
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 38.1M $10.1B -$35.4M $265.63 533
2023 Q4 38.4M $8.4B +$328M $219.05 474
2023 Q3 37.6M $6.16B -$15.1M $163.77 411
2023 Q2 37.8M $5.9B +$422M $156.33 382
2023 Q1 36.4M $5.33B +$125M $147.98 387
2022 Q4 37.3M $4.79B +$75.7M $129.65 400
2022 Q3 37.8M $5.61B +$341M $149.94 378
2022 Q2 36.3M $4.64B +$148M $127.96 364
2022 Q1 35.9M $6.06B +$190M $168.75 375
2021 Q4 35.9M $6.22B -$11.6M $173.28 388
2021 Q3 36.4M $5.68B +$435M $157.82 345
2021 Q2 35.1M $4.58B +$284M $130.27 335
2021 Q1 34.8M $4.49B +$47.4M $129.34 347
2020 Q4 35.5M $5.73B +$457M $161.59 353
2020 Q3 32.9M $3.4B +$154M $103.42 319
2020 Q2 32.1M $3.21B +$73.5M $99.27 308
2020 Q1 32.4M $2.78B +$106M $85.56 321
2019 Q4 31.6M $3.68B +$219M $116.58 361
2019 Q3 30.5M $3.04B +$294M $99.82 339
2019 Q2 28.7M $3.65B +$662M $127.84 358
2019 Q1 27.2M $3.23B +$28M $119.05 336
2018 Q4 28M $2.08B +$137M $74.14 269
2018 Q3 28.3M $2.25B +$104M $79.84 248
2018 Q2 27.5M $1.73B +$181M $62.96 196
2018 Q1 27.4M $1.4B +$108M $51.02 177
2017 Q4 26.5M $1.1B +$99M $41.39 181
2017 Q3 26.9M $1.1B +$151M $41.00 186
2017 Q2 28.1M $1.4B +$244M $49.95 181
2017 Q1 25.5M $1.3B +$39.5M $50.87 190
2016 Q4 24.2M $1.1B +$107M $45.50 174
2016 Q3 24M $1.19B +$28.8M $49.57 178
2016 Q2 23.7M $1.15B +$237M $48.59 171
2016 Q1 19.8M $845M +$149M $42.63 143
2015 Q4 18.5M $837M +$265M $45.14 151
2015 Q3 15.6M $780M +$109M $50.14 149
2015 Q2 14.8M $928M +$327M $62.82 161
2015 Q1 10M $557M +$127M $55.57 102
2014 Q4 7.83M $310M +$49.2M $39.65 59
2014 Q3 7.57M $242M +$242M $32.00 44