Boot Barn Holdings, Inc. - COM (BOOT)

Historical Portfolio Holders from Q4 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
33.4M
Holdings value Q3 2024
$5.58B
Value change Q3 2024
-$345M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
356
Number of buys Q3 2024
152
Number of sells Q3 2024
-200
Average buys Q3 2024 %
+0.001%
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 33.4M $5.58B -$345M $167.28 359
2024 Q2 35.3M $4.56B -$391M $128.93 341
2024 Q1 38.7M $3.68B +$36.1M $95.15 297
2023 Q4 39M $2.99B +$250M $76.76 313
2023 Q3 35.7M $2.9B +$163M $81.19 300
2023 Q2 33.6M $2.84B +$29.7M $84.69 270
2023 Q1 33.5M $2.57B +$151M $76.64 293
2022 Q4 32.3M $2.02B +$8.77M $62.52 279
2022 Q3 32.2M $1.88B +$42.9M $58.46 251
2022 Q2 31.1M $2.14B +$14.3M $68.91 278
2022 Q1 30.8M $2.92B +$43.6M $94.79 286
2021 Q4 30.1M $3.71B -$38.6M $123.05 306
2021 Q3 30M $2.67B -$44.9M $88.87 274
2021 Q2 30.5M $2.56B +$15.4M $84.05 270
2021 Q1 30.6M $1.91B -$108M $62.31 238
2020 Q4 32.6M $1.41B -$122M $43.36 205
2020 Q3 36.1M $1.02B +$22.4M $28.14 173
2020 Q2 35.4M $758M +$90.8M $21.56 170
2020 Q1 32.9M $425M -$128M $12.93 182
2019 Q4 31.9M $1.42B +$11.2M $44.53 231
2019 Q3 31.6M $1.1B -$27.8M $34.90 195
2019 Q2 32.4M $1.15B +$86.9M $35.64 199
2019 Q1 31.6M $929M +$28.5M $29.44 184
2018 Q4 31.4M $536M -$9.25M $17.03 169
2018 Q3 30.8M $873M -$3.76M $28.41 166
2018 Q2 31.8M $661M +$16.9M $20.75 150
2018 Q1 32.1M $568M +$27M $17.73 125
2017 Q4 30.6M $508M -$19M $16.61 93
2017 Q3 32M $285M +$11.6M $8.90 77
2017 Q2 30.8M $218M -$2.84M $7.08 75
2017 Q1 30.7M $304M +$18M $9.89 82
2016 Q4 29.4M $368M +$1.99M $12.52 87
2016 Q3 29.1M $331M +$14.5M $11.38 72
2016 Q2 28M $241M -$3.01M $8.62 70
2016 Q1 28M $263M -$31.4M $9.40 76
2015 Q4 30.5M $375M +$11.1M $12.29 63
2015 Q3 28.2M $519M -$34.3M $18.43 82
2015 Q2 27.5M $879M +$87.1M $32.00 98
2015 Q1 25M $598M +$31.6M $23.92 84
2014 Q4 23.8M $433M +$109M $18.20 63