BROADRIDGE FINANCIAL SOLUTIONS, INC. - COM (BR)

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
104M
Holdings value Q3 2024
$22.2B
Value change Q3 2024
-$457M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
979
Number of buys Q3 2024
469
Number of sells Q3 2024
-385
Average buys Q3 2024 %
+0.002%
Average sells Q3 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 104M $22.2B -$457M $215.03 980
2024 Q2 106M $20.8B +$221M $197.00 916
2024 Q1 105M $21.4B -$344M $204.86 927
2023 Q4 106M $21.6B +$291M $205.75 901
2023 Q3 105M $18.8B -$130M $179.05 840
2023 Q2 106M $17.4B +$83.8M $165.63 802
2023 Q1 105M $15.4B +$249M $146.57 772
2022 Q4 103M $13.8B +$260M $134.13 762
2022 Q3 103M $14.9B -$4.35M $144.32 768
2022 Q2 102M $14.6B +$42.6M $142.55 744
2022 Q1 102M $15.8B -$59M $155.71 759
2021 Q4 102M $18.5B +$21.5M $182.82 803
2021 Q3 101M $16.8B -$19.6M $166.64 776
2021 Q2 101M $16.3B +$326M $161.53 772
2021 Q1 101M $15.3B +$188M $153.10 762
2020 Q4 99.3M $15.1B +$62.7M $153.20 771
2020 Q3 99.4M $13.1B -$122M $132.00 727
2020 Q2 100M $12.6B +$319M $126.19 701
2020 Q1 98.2M $9.32B -$149M $94.83 682
2019 Q4 98.8M $12.2B -$201M $123.54 738
2019 Q3 100M $12.4B -$103M $124.43 683
2019 Q2 101M $12.8B +$392M $127.68 684
2019 Q1 98.6M $10.2B +$162M $103.69 695
2018 Q4 97.2M $9.35B -$189M $96.25 701
2018 Q3 98.5M $13B -$140M $131.95 717
2018 Q2 99.7M $11.5B -$163M $115.10 675
2018 Q1 101M $11.1B +$294M $109.69 622
2017 Q4 99.2M $8.98B +$6.65M $90.58 594
2017 Q3 98.5M $7.96B +$11.1M $80.82 512
2017 Q2 97.3M $7.35B +$535M $75.56 499
2017 Q1 98.5M $6.69B +$733M $67.95 487
2016 Q4 99.1M $6.57B +$19.6M $66.30 500
2016 Q3 100M $6.79B -$210M $67.79 522
2016 Q2 103M $6.75B +$180M $65.20 498
2016 Q1 102M $6.03B +$7.11M $59.31 457
2015 Q4 102M $5.47B +$16M $53.73 453
2015 Q3 102M $5.65B +$127M $55.35 408
2015 Q2 100M $5.02B -$81.4M $50.01 406
2015 Q1 102M $5.6B -$47.2M $55.01 407
2014 Q4 103M $4.76B +$15.9M $46.18 380
2014 Q3 102M $4.24B -$18M $41.63 359
2014 Q2 102M $4.26B -$73.8M $41.64 357
2014 Q1 104M $3.88B -$6M $37.14 343