Broadcom Inc. - COM (AVGO)

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
3.44B
Holdings value Q3 2024
$594B
Value change Q3 2024
+$460B
Grand Portfolio weight change Q3 2024
+0.874%
Number of holders
3292
Number of buys Q3 2024
3115
Number of sells Q3 2024
-148
Average buys Q3 2024 %
+0.369%
Average sells Q3 2024 %
-0.021%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 3.44B $594B +$460B $172.50 3,313
2024 Q2 348M $558B +$3.84B $1,605.53 3,083
2024 Q1 347M $460B -$8.95B $1,325.41 2,982
2023 Q4 354M $395B +$30.4B $1,116.25 2,788
2023 Q3 327M $271B -$2.34B $830.58 2,416
2023 Q2 327M $284B -$2.41B $867.43 2,350
2023 Q1 332M $213B -$2.1B $641.54 2,152
2022 Q4 336M $188B +$2.12B $559.13 2,097
2022 Q3 333M $148B +$4.12B $444.01 1,966
2022 Q2 323M $157B -$1.12B $485.81 1,944
2022 Q1 327M $206B -$2.67B $629.68 2,022
2021 Q4 331M $220B -$758M $665.41 1,977
2021 Q3 332M $161B -$513M $484.93 1,712
2021 Q2 333M $159B -$1.43B $476.84 1,688
2021 Q1 336M $156B +$1.87B $463.66 1,652
2020 Q4 332M $145B -$377M $437.85 1,604
2020 Q3 333M $121B +$305M $364.32 1,417
2020 Q2 332M $105B +$978M $315.61 1,343
2020 Q1 329M $78.1B -$559M $237.10 1,257
2019 Q4 331M $105B -$981M $316.02 1,311
2019 Q3 334M $92.1B -$1.58B $276.07 1,207
2019 Q2 340M $97.8B +$1.54B $287.86 1,210
2019 Q1 338M $102B -$1.77B $300.71 1,192
2018 Q4 344M $87.4B -$2.86B $254.28 1,094
2018 Q3 355M $87.7B -$2.07B $246.73 986
2018 Q2 364M $88.3B +$68.5B $242.64 974
2018 Q1 81.1M $19.1B +$19.1B $235.65 135
2017 Q4 1.25K $320K -$24.7K $256.90 4
2017 Q3 1.34K $326K +$31.6K $242.54 3
2017 Q2 1.21K $283K +$29.2K $233.05 3
2017 Q1 1.09K $238K +$438 $218.96 2
2016 Q4 1.09K $192K +$530 $176.77 2
2016 Q3 561 $96.8K +$62.3K $172.52 1
2016 Q2 198 $31.1K -$1.96M $202.70 2
2016 Q1 6.62K $2M $0 $250.00 3