CIRRUS LOGIC, INC. - COM (CRUS)

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
48.7M
Holdings value Q3 2024
$6.05B
Value change Q3 2024
+$87.3M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
446
Number of buys Q3 2024
268
Number of sells Q3 2024
-156
Average buys Q3 2024 %
+0.002%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 48.7M $6.05B +$87.3M $124.21 450
2024 Q2 48.7M $6.22B +$209M $127.66 385
2024 Q1 47.3M $4.38B -$35.9M $92.56 366
2023 Q4 47.8M $3.98B -$90M $83.19 366
2023 Q3 48.8M $3.6B -$91.3M $73.96 339
2023 Q2 49.7M $4.03B -$151M $81.01 340
2023 Q1 51.4M $5.62B +$69.4M $109.38 377
2022 Q4 51.2M $3.81B +$11.8M $74.48 337
2022 Q3 51.1M $3.52B +$93.1M $68.80 313
2022 Q2 49.6M $3.6B +$19.8M $72.54 291
2022 Q1 49.5M $4.2B -$2.48M $84.79 289
2021 Q4 49.9M $4.59B +$8.83M $92.02 320
2021 Q3 49.8M $4.1B +$28M $82.35 292
2021 Q2 49.4M $4.21B -$39.8M $85.12 307
2021 Q1 49.9M $4.23B -$163M $84.79 313
2020 Q4 52M $4.27B +$120M $82.20 302
2020 Q3 50.6M $3.41B +$1.74M $67.45 283
2020 Q2 51.1M $3.16B -$32.5M $61.78 296
2020 Q1 51.6M $3.39B -$155M $65.63 296
2019 Q4 53.7M $4.42B -$39.6M $82.41 309
2019 Q3 54.4M $2.91B +$189M $53.58 276
2019 Q2 50.9M $2.22B +$47.5M $43.70 249
2019 Q1 50.3M $2.12B -$95.9M $42.07 252
2018 Q4 52.9M $1.76B -$94.5M $33.18 250
2018 Q3 55.4M $2.14B +$5.89M $38.60 243
2018 Q2 55.3M $2.12B -$56M $38.33 257
2018 Q1 56.6M $2.3B -$70.8M $40.63 285
2017 Q4 58.1M $3.01B -$10.5M $51.86 334
2017 Q3 57.5M $3.07B -$11M $53.32 332
2017 Q2 57.4M $3.6B -$232M $62.72 319
2017 Q1 61.6M $3.74B +$728M $60.69 313
2016 Q4 56.4M $3.19B -$2.74M $56.54 314
2016 Q3 56.5M $3B +$6.76M $53.15 289
2016 Q2 56.3M $2.18B +$11.6M $38.79 268
2016 Q1 56.5M $2.06B -$51.4M $36.41 259
2015 Q4 58.9M $1.74B +$98.4M $29.53 249
2015 Q3 54.8M $1.73B +$73.6M $31.51 237
2015 Q2 52.4M $1.78B +$72.3M $34.03 226
2015 Q1 49.8M $1.66B -$62M $33.26 213
2014 Q4 52.5M $1.24B +$68.9M $23.57 200
2014 Q3 49.8M $1.04B -$18.6M $20.85 211
2014 Q2 50.3M $1.14B +$67.7M $22.74 209
2014 Q1 47.5M $946M -$67.6M $19.87 209