Aptiv PLC - common

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / common
Shares, excl. options Q2 2024
162K
Holdings value Q2 2024
$5.36M
Value change Q2 2024
-$28M
Grand Portfolio weight change Q2 2024
0%
Number of holders
2
Number of buys Q2 2024
2
Number of sells Q2 2024
-1
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 162K $5.36M -$28M $44.81 2
2024 Q1 454K $36.1M -$2M $79.65 3
2023 Q4 106K $9.52M +$429K $89.72 3
2023 Q3 101K $9.99M -$89.5K $98.59 2
2023 Q2 102K $10.4M +$4.65M $102.09 2
2023 Q1 56.6K $6.35M +$757K $112.19 1
2022 Q4 49.9K $4.65M -$3.13M $93.13 1
2022 Q3 90K $7.04M +$171K $78.21 2
2022 Q2 87.8K $7.82M +$74.6K $89.07 2
2022 Q1 87K $10.4M -$1.17M $119.71 2
2021 Q4 96.7K $16M -$292K $164.94 2
2021 Q3 98.5K $14.7M +$3.31M $148.98 2
2021 Q2 76.3K $12M -$2.75M $157.33 2
2021 Q1 93.7K $12.9M -$725K $137.90 2
2020 Q4 894K $117M +$105M $130.29 3
2020 Q3 91.7K $8.41M +$1.49M $91.68 2
2020 Q2 77.6K $6.05M +$1.37M $77.92 3
2020 Q1 60.1K $2.96M -$1.86M $49.24 2
2019 Q4 84.1K $7.98M +$553K $94.96 3
2019 Q3 78.2K $6.84M -$3.61M $87.42 2
2019 Q2 123K $9.96M -$403K $80.83 3
2019 Q1 128K $10.2M +$1.15M $79.50 3
2018 Q4 114K $7M +$977K $61.57 3
2018 Q3 89.8K $7.54M -$80.4M $83.90 3
2018 Q2 966K $88.5M -$1.19M $91.63 5
2018 Q1 979K $83.2M -$26.9M $84.97 3
2017 Q4 1.3M $110M -$18.8M $84.83 4
2017 Q3 1.49M $147M +$64.3M $98.40 5
2017 Q2 839K $73.5M -$5.25M $87.65 4
2017 Q1 899K $72.3M -$10.6M $80.49 3
2016 Q4 1.03M $69.6M -$66.2M $67.35 4
2016 Q3 1.96M $140M -$4.69M $71.32 8
2016 Q2 2.03M $127M +$11.4M $62.60 7
2016 Q1 1.84M $138M -$336M $75.02 7
2015 Q4 6.29M $539M +$4.01M $85.73 10
2015 Q3 6.24M $475M -$6.73M $76.04 10
2015 Q2 6.33M $539M -$29.1M $85.09 12
2015 Q1 6.67M $532M +$27.8M $79.74 10
2014 Q4 6.32M $460M +$12.9M $72.72 11
2014 Q3 6.15M $377M -$7.99M $61.34 12
2014 Q2 6.28M $431M -$9.8M $68.74 12
2014 Q1 6.4M $435M +$73.3M $67.86 9