Check Point Software Technologies Ltd - COM (CKP)

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
9.2K
Holdings value Q3 2024
$1.77M
Value change Q3 2024
$0
Grand Portfolio weight change Q3 2024
0%
Number of holders
1
Number of buys Q3 2024
0
Number of sells Q3 2024
0
Average buys Q3 2024 %
0
Average sells Q3 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 Q3 9.2K $1.77M $0 $192.62 1
2024 Q2 9.2K $1.52M $0 $164.99 1
2024 Q1 9.2K $1.51M $0 $163.87 1
2023 Q4 9.2K $1.41M $0 $152.77 1
2023 Q3 9.2K $1.23M $0 $133.28 1
2023 Q2 9.2K $1.16M $0 $125.62 1
2023 Q1 9.2K $1.2M $0 $130.00 1
2022 Q4 9.2K $1.16M $0 $126.09 1
2022 Q3 9.2K $1.03M $0 $111.96 1
2022 Q2 9.2K $1.12M $0 $121.74 1
2022 Q1 9.2K $1.27M $0 $138.15 1
2021 Q4 9.2K $1.07M $0 $116.52 1
2021 Q3 9.2K $1.04M $0 $112.93 1
2021 Q2 9.2K $1.07M $0 $116.09 1
2021 Q1 9.2K $1.03M $0 $111.85 1
2020 Q4 9.2K $1.23M $0 $134.02 1
2020 Q3 9.2K $1.11M $0 $120.22 1
2020 Q2 9.2K $987K $0 $107.28 1
2020 Q1 9.2K $924K $0 $100.43 1
2019 Q4 9.2K $1.02M -$244K $110.87 1
2019 Q3 11.4K $1.25M $0 $109.47 1
2019 Q2 11.4K $1.32M $0 $115.53 1
2019 Q1 11.4K $1.44M $0 $126.40 1
2018 Q4 11.4K $1.17M $0 $102.63 1
2018 Q3 11.4K $1.34M $0 $117.63 1
2018 Q2 11.4K $1.11M $0 $97.63 1
2018 Q1 11.4K $1.13M -$333K $99.30 1
2017 Q4 14.8K $1.53M $0 $103.59 1
2017 Q3 14.8K $1.68M $0 $113.97 1
2017 Q2 14.8K $1.61M $0 $109.02 1
2017 Q1 14.8K $1.51M $0 $102.64 1
2016 Q4 14.8K $1.25M $0 $84.41 1
2016 Q3 14.8K $1.14M -$5.09M $77.56 1
2016 Q2 78.6K $6.26M -$365M $79.67 2
2016 Q1 37M $375M +$30.9M $10.12 151
2015 Q4 35.7M $224M -$9.46M $6.27 132
2015 Q3 36.9M $268M -$13.9M $7.25 139
2015 Q2 38.2M $389M +$1.29M $10.18 144
2015 Q1 38M $412M -$2.49M $10.82 144
2014 Q4 38.1M $524M -$11.3M $13.73 125
2014 Q3 38.8M $474M +$1.79M $12.23 130
2014 Q2 36.7M $513M +$806K $13.99 126
2014 Q1 39M $524M +$7.71M $13.42 119