Churchill Downs Inc - COM (CHDN)

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
55.9M
Holdings value Q3 2024
$7.56B
Value change Q3 2024
-$207M
Grand Portfolio weight change Q3 2024
0%
Number of holders
443
Number of buys Q3 2024
240
Number of sells Q3 2024
-164
Average buys Q3 2024 %
+0.001%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 55.9M $7.56B -$207M $135.21 444
2024 Q2 57M $7.95B +$94.2M $139.60 419
2024 Q1 56.2M $6.96B -$161M $123.75 373
2023 Q4 57.6M $7.77B +$208M $134.93 359
2023 Q3 55.9M $6.48B +$13.5M $116.04 339
2023 Q2 55.2M $7.69B +$3.66B $139.17 384
2023 Q1 28.8M $7.39B +$156M $257.05 345
2022 Q4 28.2M $5.97B +$185M $211.43 313
2022 Q3 27.5M $5.06B +$10.5M $184.15 318
2022 Q2 27.4M $5.25B -$75M $191.53 323
2022 Q1 27.9M $6.19B +$48.6M $221.78 333
2021 Q4 27.6M $6.65B -$68.4M $240.90 320
2021 Q3 27.8M $6.68B +$40.8M $240.08 315
2021 Q2 27.7M $5.5B -$35.8M $198.26 319
2021 Q1 28.2M $6.42B +$14.4M $227.42 311
2020 Q4 28.2M $5.49B -$137M $194.79 313
2020 Q3 29.1M $4.77B -$88.2M $163.82 305
2020 Q2 29.7M $3.95B +$99.5M $133.15 278
2020 Q1 29.2M $3.01B +$34.5M $102.95 271
2019 Q4 28.6M $3.92B -$110M $137.20 306
2019 Q3 29.3M $3.62B +$46.8M $123.45 281
2019 Q2 28.9M $3.33B -$7.1M $115.07 264
2019 Q1 29.4M $2.65B +$1.7B $90.26 250
2018 Q4 9.7M $2.37B -$49.3M $243.94 239
2018 Q3 9.69M $2.69B +$27.7M $277.70 240
2018 Q2 9.58M $2.84B -$39.1M $296.50 253
2018 Q1 9.75M $2.38B -$368M $244.05 222
2017 Q4 11.3M $2.63B -$17.5M $232.70 210
2017 Q3 11.4M $2.34B -$35.3M $206.20 186
2017 Q2 11.5M $2.11B +$16.8M $183.30 168
2017 Q1 11.5M $1.82B +$213M $158.85 165
2016 Q4 11.4M $1.71B -$64.6M $150.45 170
2016 Q3 11.7M $1.71B -$42.3M $146.35 168
2016 Q2 12M $1.52B +$97.5M $126.36 153
2016 Q1 11.3M $1.67B +$16.4M $147.88 150
2015 Q4 11.2M $1.59B -$7.79M $141.49 146
2015 Q3 11.2M $1.49B +$33.4M $133.81 133
2015 Q2 10.9M $1.37B +$4.8M $125.05 127
2015 Q1 10.9M $1.25B +$12.4M $114.97 117
2014 Q4 10.8M $1.03B -$8.27M $95.30 108
2014 Q3 9.97M $972M +$9.54M $97.50 102
2014 Q2 9.9M $892M -$9.47M $90.11 105
2014 Q1 10M $913M +$1.1M $91.30 90