Burlington Stores, Inc. - COM (BURL)

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
63M
Holdings value Q3 2024
$16.6B
Value change Q3 2024
-$474M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
555
Number of buys Q3 2024
313
Number of sells Q3 2024
-219
Average buys Q3 2024 %
+0.003%
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 63M $16.6B -$474M $263.48 557
2024 Q2 65.1M $15.6B -$206M $240.00 510
2024 Q1 66M $15.3B -$407M $232.19 460
2023 Q4 68.3M $13.3B +$749M $194.48 451
2023 Q3 64.8M $8.76B -$491M $135.30 403
2023 Q2 67.7M $10.7B -$137M $157.39 418
2023 Q1 68.3M $13.8B -$616M $202.10 434
2022 Q4 71.6M $14.5B +$363M $202.76 424
2022 Q3 71.1M $7.96B -$851M $111.89 344
2022 Q2 71.5M $9.74B -$87.7M $136.23 395
2022 Q1 71.4M $13B -$244M $182.17 413
2021 Q4 70.6M $20.6B +$298M $291.51 480
2021 Q3 69.3M $19.7B +$14.8M $283.57 479
2021 Q2 69.1M $22.2B +$187M $321.99 478
2021 Q1 68.8M $20.6B -$634M $298.80 465
2020 Q4 71.2M $18.6B -$256M $261.55 435
2020 Q3 72.4M $14.9B +$596M $206.09 412
2020 Q2 69.6M $13.7B +$592M $196.93 431
2020 Q1 66.7M $10.6B -$214M $158.46 416
2019 Q4 67.3M $15.3B -$530M $228.03 461
2019 Q3 69.5M $13.9B -$233M $199.82 435
2019 Q2 71.1M $12.1B -$235M $170.15 396
2019 Q1 73.6M $11.5B +$723M $156.68 424
2018 Q4 69M $11.2B -$28M $162.67 423
2018 Q3 69.1M $11.3B +$69.7M $162.92 404
2018 Q2 69M $10.4B -$168M $150.53 388
2018 Q1 70.3M $9.35B -$103M $133.15 378
2017 Q4 71.2M $8.76B -$70.9M $123.03 339
2017 Q3 70.9M $6.77B -$197M $95.46 288
2017 Q2 72.9M $6.71B -$29.7M $91.99 297
2017 Q1 73.3M $7.13B +$343M $97.29 309
2016 Q4 73M $6.19B -$94.3M $84.75 310
2016 Q3 74.2M $6.01B -$72M $81.02 284
2016 Q2 75.9M $5.06B -$144M $66.71 263
2016 Q1 79.6M $4.48B +$241M $56.24 240
2015 Q4 78.2M $3.35B -$71.3M $42.90 227
2015 Q3 77.8M $3.97B +$78.8M $51.04 244
2015 Q2 77.3M $3.96B +$188M $51.20 246
2015 Q1 71M $4.21B +$634M $59.42 225
2014 Q4 60.4M $2.86B -$715M $47.26 177
2014 Q3 74.2M $2.96B +$111M $39.86 134
2014 Q2 71.9M $2.29B -$1.04M $31.86 121
2014 Q1 71.8M $2.12B +$30.9M $29.52 99