Apple Hospitality REIT, Inc. - COM NEW (APLE)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q3 2024
205M
Holdings value Q3 2024
$3.05B
Value change Q3 2024
-$47.5M
Grand Portfolio weight change Q3 2024
0%
Number of holders
308
Number of buys Q3 2024
141
Number of sells Q3 2024
-156
Average buys Q3 2024 %
+0.001%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 205M $3.05B -$47.5M $14.85 311
2024 Q2 208M $3.03B +$44.6M $14.54 316
2024 Q1 205M $3.36B -$146M $16.38 300
2023 Q4 214M $3.56B +$155M $16.61 309
2023 Q3 205M $3.14B +$283M $15.34 281
2023 Q2 186M $2.81B -$6.37M $15.11 268
2023 Q1 186M $2.89B +$15.5M $15.52 272
2022 Q4 185M $2.93B +$26.3M $15.78 288
2022 Q3 184M $2.58B -$161M $14.06 276
2022 Q2 187M $2.74B -$21.9M $14.67 263
2022 Q1 188M $3.38B +$133M $17.97 263
2021 Q4 181M $2.92B -$42.8M $16.15 243
2021 Q3 184M $2.89B +$56.8M $15.73 239
2021 Q2 180M $2.75B +$279M $15.26 233
2021 Q1 162M $2.36B +$75.5M $14.57 249
2020 Q4 158M $2.03B +$180M $12.91 241
2020 Q3 146M $1.41B +$49.1M $9.61 237
2020 Q2 143M $1.38B +$26.6M $9.66 244
2020 Q1 140M $1.28B -$2.01M $9.17 251
2019 Q4 139M $2.25B +$15.9M $16.25 254
2019 Q3 137M $2.27B +$37.9M $16.58 249
2019 Q2 135M $2.13B +$72.2M $15.86 240
2019 Q1 131M $2.13B +$41.5M $16.30 252
2018 Q4 128M $1.83B -$66.9M $14.26 242
2018 Q3 131M $2.29B -$31M $17.49 240
2018 Q2 133M $2.37B +$37.4M $17.88 250
2018 Q1 131M $2.29B +$98.6M $17.57 234
2017 Q4 125M $2.46B +$195M $19.61 217
2017 Q3 101M $1.91B +$47.9M $18.91 199
2017 Q2 98M $1.83B +$41.8M $18.71 201
2017 Q1 95.8M $1.83B +$208M $19.10 184
2016 Q4 93.7M $1.87B +$236M $19.98 190
2016 Q3 91.3M $1.69B +$287M $18.51 177
2016 Q2 76M $1.43B +$88.8M $18.81 155
2016 Q1 70.8M $1.4B +$76.9M $19.81 134
2015 Q4 67.3M $1.34B +$621M $19.97 131
2015 Q3 36.2M $672M +$411M $18.57 103
2015 Q2 14.1M $266M +$266M $18.87 59