Flex Ltd. (FLEX)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / ORD
Shares, Excl. Options Q1 2024
$385M
Holdings value Q1 2024
$11B
Value change Q1 2024
-$362M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
526
Number of Buys Q1 2024
189
Number of Sells Q1 2024
-243
Average Buys Q1 2024 %
+0.003%
Average Sells Q1 2024 %
-0.013%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 385M $11B -$361M $28.61 473
2023 Q4 376M $11.5B -$145M $30.46 466
2023 Q3 403M $10.9B -$456M $26.98 463
2023 Q2 422M $11.7B +$187M $27.64 455
2023 Q1 422M $9.71B +$43.6M $23.01 442
2022 Q4 439M $9.36B +$72M $21.46 433
2022 Q3 437M $7.28B +$44.8M $16.66 393
2022 Q2 437M $6.32B +$70M $14.47 367
2022 Q1 438M $8.12B -$31.5M $18.55 368
2021 Q4 445M $8.16B +$86.5M $18.33 364
2021 Q3 452M $7.99B -$57.3M $17.68 330
2021 Q2 463M $8.29B +$5.31M $17.87 342
2021 Q1 473M $8.69B -$90.5M $18.31 348
2020 Q4 488M $8.75B +$133M $17.98 349
2020 Q3 486M $5.41B +$110M $11.14 279
2020 Q2 484M $4.96B +$212M $10.25 291
2020 Q1 481M $4.03B +$114M $8.38 300
2019 Q4 481M $6.07B +$20.3M $12.62 333
2019 Q3 481M $5.04B +$15.1M $10.46 325
2019 Q2 488M $4.67B +$112M $9.57 336
2019 Q1 491M $4.91B +$198M $10.00 344
2018 Q4 490M $3.73B +$222M $7.61 339
2018 Q3 493M $6.47B +$63.4M $13.12 369
2018 Q2 494M $6.97B +$205M $14.11 363
2018 Q1 504M $8.23B -$17.2M $16.33 394
2017 Q4 516M $9.28B +$154M $17.99 381
2017 Q3 509M $8.44B +$88.7M $16.57 343
2017 Q2 510M $8.32B +$876M $16.31 357
2017 Q1 489M $8.21B +$365M $16.80 337
2016 Q4 492M $7.07B +$929M $14.37 350
2016 Q3 443M $6.02B +$27.2M $13.62 342
2016 Q2 444M $5.24B +$227M $11.80 354
2016 Q1 430M $5.18B -$84M $12.06 316
2015 Q4 444M $4.98B +$152M $11.21 312
2015 Q3 472M $4.97B -$245M $10.54 292
2015 Q2 501M $5.65B -$102M $11.31 310
2015 Q1 520M $6.59B -$29M $12.68 309
2014 Q4 528M $5.9B +$104M $11.18 319
2014 Q3 522M $5.39B -$34.3M $10.32 292
2014 Q2 526M $5.83B +$82.4M $11.07 283
2014 Q1 524M $4.84B +$25.4M $9.24 279