CDK GLOBAL INC - COMMON STOCK (CDK)

Historical Institutional Holders from Q3 2014 to Q4 2024

All holders as of December 31, 2024
Q4 2024
Type / Class
Equity / COMMON STOCK
Shares, excl. options Q4 2024
1
Holdings value Q4 2024
$55.00
Value change Q4 2024
$0
Grand Portfolio weight change Q4 2024
0%
Number of holders
1
Number of buys Q4 2024
0
Number of sells Q4 2024
0
Average buys Q4 2024 %
0
Average sells Q4 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q4 1 $55.00 $0 $55.00 1
2024 Q3 1 $55.00 $0 $55.00 1
2024 Q2 1 $55.00 $0 $55.00 1
2024 Q1 1 $55.00 $0 $55.00 1
2023 Q4 1 $55.00 $0 $55.00 1
2023 Q3 1 $55.00 $0 $55.00 1
2023 Q2 1 $55.00 $0 $55.00 1
2023 Q1 1 $55.00 $0 $55.00 1
2022 Q4 1 $55.00 -$117K $55.00 1
2022 Q3 5.29K $184K -$5.55B $54.86 5
2022 Q2 101M $5.53B -$94.1M $54.77 445
2022 Q1 105M $5.12B -$140M $48.68 456
2021 Q4 108M $4.51B +$16.2M $41.74 431
2021 Q3 107M $4.55B -$28.2M $42.55 406
2021 Q2 107M $5.3B -$84.9M $49.69 454
2021 Q1 108M $5.86B +$194M $54.06 443
2020 Q4 105M $5.46B +$97.8M $51.83 465
2020 Q3 103M $4.47B +$46M $43.59 457
2020 Q2 101M $4.2B +$25.9M $41.42 460
2020 Q1 101M $3.32B -$86.8M $32.85 444
2019 Q4 102M $5.57B +$170M $54.68 505
2019 Q3 100M $4.81B +$28.2M $48.09 498
2019 Q2 99.4M $4.91B -$23.6M $49.44 537
2019 Q1 100M $5.9B -$73.9M $58.82 579
2018 Q4 102M $4.89B -$178M $47.88 562
2018 Q3 104M $6.53B -$220M $62.56 594
2018 Q2 108M $7.01B -$409M $65.05 593
2018 Q1 114M $7.25B -$136M $63.34 591
2017 Q4 115M $8.23B -$412M $71.28 616
2017 Q3 122M $7.67B +$98.3M $63.09 545
2017 Q2 120M $7.46B -$196M $62.06 560
2017 Q1 123M $8B +$771M $65.01 585
2016 Q4 124M $7.38B -$91.7M $59.69 569
2016 Q3 125M $7.16B -$240M $57.36 538
2016 Q2 129M $7.17B -$233M $55.49 519
2016 Q1 134M $6.24B -$90.9M $46.55 490
2015 Q4 136M $6.45B +$250M $47.47 498
2015 Q3 130M $6.22B +$139M $47.78 505
2015 Q2 126M $6.83B +$64.5M $53.98 509
2015 Q1 128M $5.99B +$47.5M $46.76 513
2014 Q4 128M $5.21B +$4.38B $40.76 544
2014 Q3 19M $582M +$579M $30.59 72