AVNET INC - COM (AVT)

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
85M
Holdings value Q3 2024
$4.65B
Value change Q3 2024
-$139M
Grand Portfolio weight change Q3 2024
0%
Number of holders
352
Number of buys Q3 2024
159
Number of sells Q3 2024
-174
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 85M $4.65B -$139M $54.31 353
2024 Q2 88.2M $4.57B +$75.7M $51.49 355
2024 Q1 86.7M $4.3B +$14.6M $49.58 349
2023 Q4 86.4M $4.38B -$27.4M $50.40 353
2023 Q3 86.8M $4.21B -$65.5M $48.19 351
2023 Q2 88M $4.46B +$78.4M $50.45 324
2023 Q1 86.5M $3.93B -$54.3M $45.20 333
2022 Q4 88.1M $3.69B -$34.2M $41.58 336
2022 Q3 89M $3.24B -$163M $36.12 316
2022 Q2 93.4M $4.02B -$20M $42.88 351
2022 Q1 94.5M $3.86B -$43.3M $40.59 313
2021 Q4 95.5M $3.96B -$28.7M $41.23 304
2021 Q3 96M $3.57B +$611K $36.97 290
2021 Q2 96M $3.87B -$42.5M $40.08 302
2021 Q1 97M $4.05B +$86.3M $41.51 282
2020 Q4 95.3M $3.37B +$76.6M $35.11 279
2020 Q3 93.8M $2.44B -$26.6M $25.84 267
2020 Q2 94.6M $2.65B +$3.9M $27.89 274
2020 Q1 94.5M $2.4B -$83.3M $25.10 269
2019 Q4 96.5M $4.13B -$88.4M $42.44 319
2019 Q3 97.9M $4.38B -$86.4M $44.48 315
2019 Q2 99.8M $4.55B -$123M $45.27 325
2019 Q1 103M $4.51B -$22.7M $43.37 324
2018 Q4 104M $3.8B -$284M $36.10 347
2018 Q3 111M $5.01B -$140M $44.77 373
2018 Q2 115M $4.94B -$106M $42.89 347
2018 Q1 117M $4.91B +$73M $41.76 359
2017 Q4 116M $4.61B -$74.4M $39.62 355
2017 Q3 116M $4.56B -$101M $39.30 330
2017 Q2 119M $4.63B -$184M $38.88 327
2017 Q1 121M $5.54B +$496M $45.76 340
2016 Q4 123M $5.85B +$98.5M $47.61 339
2016 Q3 120M $4.92B -$75.3M $41.06 347
2016 Q2 121M $4.9B +$33.8M $40.51 363
2016 Q1 120M $5.31B -$115M $44.30 378
2015 Q4 123M $5.27B +$22.8M $42.84 403
2015 Q3 121M $5.15B +$36.2M $42.68 365
2015 Q2 125M $5.15B -$69.2M $41.11 349
2015 Q1 127M $5.63B +$38.1M $44.50 361
2014 Q4 118M $5.09B -$64M $43.02 353
2014 Q3 128M $5.31B +$676K $41.50 338
2014 Q2 120M $5.32B -$82M $44.31 332
2014 Q1 130M $6.05B -$14.5M $46.53 340