ANSYS INC - COM (ANSS)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
76.1M
Holdings value Q3 2024
$24.3B
Value change Q3 2024
-$902M
Grand Portfolio weight change Q3 2024
-0.002%
Number of holders
806
Number of buys Q3 2024
326
Number of sells Q3 2024
-398
Average buys Q3 2024 %
+0.004%
Average sells Q3 2024 %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 76.1M $24.3B -$902M $318.63 810
2024 Q2 78.5M $25.2B +$649M $321.50 830
2024 Q1 76.7M $26.6B -$1.34B $347.16 818
2023 Q4 79.8M $28.9B +$402M $362.88 817
2023 Q3 78.8M $23.5B -$123M $297.55 756
2023 Q2 78.9M $26B +$119M $330.27 772
2023 Q1 78.4M $26.1B +$290M $332.80 767
2022 Q4 77.9M $18.8B -$232M $241.59 733
2022 Q3 78.9M $17.5B -$34.8M $221.70 705
2022 Q2 79.1M $18.9B +$245M $239.29 712
2022 Q1 78.3M $24.9B -$74.8M $317.65 728
2021 Q4 78.3M $31.4B -$198M $401.12 773
2021 Q3 78.6M $26.8B +$119M $340.45 710
2021 Q2 77.8M $27B -$161M $347.06 730
2021 Q1 78.4M $26.6B +$219M $339.56 706
2020 Q4 78.7M $28.6B +$23.6M $363.80 736
2020 Q3 78.1M $25.5B -$249M $327.23 669
2020 Q2 78.8M $23B -$229M $291.73 668
2020 Q1 79.6M $18.5B -$530M $232.47 634
2019 Q4 81.6M $21B +$319M $257.41 643
2019 Q3 80.1M $17.7B +$126M $221.36 592
2019 Q2 79.7M $16.3B +$142M $204.82 589
2019 Q1 79.3M $14.5B +$47.9M $182.71 598
2018 Q4 78.9M $11.3B -$152M $142.94 559
2018 Q3 79.9M $14.9B -$118M $186.68 548
2018 Q2 80.8M $14.1B +$241M $174.18 544
2018 Q1 79.4M $12.4B -$136M $156.69 529
2017 Q4 81.1M $12B -$307M $147.59 508
2017 Q3 83M $10.2B +$82.7M $122.73 439
2017 Q2 82.4M $10B -$254M $121.68 454
2017 Q1 86.5M $9.25B +$1.05B $106.87 407
2016 Q4 85.3M $7.89B +$200M $92.49 422
2016 Q3 82.2M $7.61B -$320M $92.61 424
2016 Q2 85.7M $7.77B +$1.65M $90.75 405
2016 Q1 85.6M $7.65B -$166M $89.46 413
2015 Q4 87.5M $8.09B -$140M $92.50 383
2015 Q3 88.4M $7.79B -$55.2M $88.14 390
2015 Q2 87.1M $7.95B +$126M $91.24 367
2015 Q1 85.2M $7.51B -$31.6M $88.19 377
2014 Q4 85.8M $7.03B +$33M $82.00 370
2014 Q3 86.7M $6.56B +$135M $75.67 369
2014 Q2 85.1M $6.45B -$132M $75.82 375
2014 Q1 86.8M $6.69B -$15.5M $77.02 373