NXP Semiconductors N.V. (NXPI)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$222M
Holdings value Q1 2024
$55B
Value change Q1 2024
-$1.12B
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1128
Number of Buys Q1 2024
484
Number of Sells Q1 2024
-494
Average Buys Q1 2024 %
+0.005%
Average Sells Q1 2024 %
-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 221M $54.7B -$1.04B $247.77 1,068
2023 Q4 229M $52.6B +$500M $229.68 1,080
2023 Q3 229M $45.8B -$411M $199.92 1,004
2023 Q2 232M $47.5B +$580M $204.68 993
2023 Q1 231M $43.1B +$615M $186.48 946
2022 Q4 232M $36.7B +$361M $158.03 939
2022 Q3 232M $34.3B -$872M $147.51 907
2022 Q2 232M $34.3B +$458M $148.03 946
2022 Q1 231M $42.7B -$283M $185.08 975
2021 Q4 233M $53.1B +$76.8M $227.78 1,038
2021 Q3 234M $45.8B -$1.5B $195.87 929
2021 Q2 243M $49.9B -$1.28B $205.72 923
2021 Q1 252M $50.7B +$1.53B $201.34 900
2020 Q4 252M $39.9B +$252M $159.01 838
2020 Q3 253M $31.5B +$152M $124.81 752
2020 Q2 253M $28.9B +$731M $114.04 724
2020 Q1 250M $20.8B +$595M $82.93 703
2019 Q4 255M $32.4B +$631M $127.26 816
2019 Q3 254M $27.7B +$871M $109.12 745
2019 Q2 249M $24.4B +$724M $97.61 772
2019 Q1 253M $22.4B +$916M $88.39 754
2018 Q4 254M $18.6B +$1.67B $73.28 750
2018 Q3 262M $22.3B +$703M $85.50 763
2018 Q2 297M $32.5B +$936M $109.27 723
2018 Q1 316M $50.7B +$6.37B $117.00 663
2017 Q4 306M $34.8B +$1.31B $117.09 742
2017 Q3 302M $34.2B +$1.58B $113.09 705
2017 Q2 294M $39B +$6.31B $109.45 706
2017 Q1 287M $29.7B +$2.22B $103.50 716
2016 Q4 285M $27.9B +$391M $98.01 781
2016 Q3 295M $29.7B +$2.2B $102.01 746
2016 Q2 291M $23.6B +$2.26B $78.34 686
2016 Q1 268M $21.5B +$1.46B $81.07 626
2015 Q4 252M $21.4B +$3.8B $84.25 664
2015 Q3 218M $19B +$1.47B $87.07 638
2015 Q2 209M $20.5B +$632M $98.20 658
2015 Q1 209M $20.9B +$812M $100.36 638
2014 Q4 205M $15.7B +$640M $76.40 545
2014 Q3 201M $13.7B +$22.4M $68.43 471
2014 Q2 210M $13.9B +$589M $66.18 437
2014 Q1 221M $13B +$650M $58.81 374