AXON ENTERPRISE, INC. - COM (AXON)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
59.1M
Holdings value Q3 2024
$23.7B
Value change Q3 2024
+$175M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
825
Number of buys Q3 2024
442
Number of sells Q3 2024
-301
Average buys Q3 2024 %
+0.005%
Average sells Q3 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 59.1M $23.7B +$175M $399.60 830
2024 Q2 59.9M $17.6B +$401M $294.24 745
2024 Q1 58.5M $18.3B -$175M $312.88 735
2023 Q4 59.1M $15.3B +$349M $258.33 668
2023 Q3 57.8M $11.5B -$6.24M $198.99 582
2023 Q2 57.9M $11.3B +$111M $195.12 612
2023 Q1 57.2M $12.9B +$268M $224.85 593
2022 Q4 56.3M $9.34B +$323M $165.93 505
2022 Q3 54.2M $6.28B +$112M $115.75 399
2022 Q2 53.3M $4.97B +$93M $93.17 396
2022 Q1 52.3M $7.2B +$144M $137.73 438
2021 Q4 51.2M $8.03B -$89.5M $157.00 475
2021 Q3 50.7M $8.88B +$109M $175.02 432
2021 Q2 50.1M $8.86B +$213M $176.80 398
2021 Q1 48.9M $6.96B -$291M $142.42 391
2020 Q4 50.9M $6.23B -$466M $122.53 361
2020 Q3 55.3M $5.01B +$166M $90.70 328
2020 Q2 53.4M $5.23B +$144M $98.13 345
2020 Q1 52M $3.68B -$184M $70.77 298
2019 Q4 54.6M $4B +$112M $73.28 301
2019 Q3 53.1M $3.01B +$149M $56.78 269
2019 Q2 50.4M $3.24B +$188M $64.21 291
2019 Q1 48M $2.61B +$58.4M $54.41 270
2018 Q4 47.1M $2.06B -$1.29M $43.75 262
2018 Q3 46.2M $3.16B -$119M $68.43 272
2018 Q2 48.2M $3.04B -$61.8M $63.18 270
2018 Q1 50.1M $1.97B -$159M $39.31 223
2017 Q4 54.8M $1.45B +$107M $26.50 196
2017 Q3 50.8M $1.15B -$14.6M $22.67 192
2017 Q2 51M $1.28B +$1.19B $25.14 189
2017 Q1 3.54M $80.7M +$80.7M $22.79 19
2016 Q4 1.04K $25.2K $0 $24.24 1
2016 Q3 19.4K $447K -$7.46K $25.64 2
2016 Q2 1.34K $33.3K -$5K $24.88 2
2016 Q1 1.44K $31.3K $0 $19.63 3