COTY INC. - COM CL A (COTY)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM CL A
Shares, excl. options Q2 2024
347M
Holdings value Q2 2024
$3.48B
Value change Q2 2024
+$33.2M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
316
Number of buys Q2 2024
154
Number of sells Q2 2024
-139
Average buys Q2 2024 %
+0.001%
Average sells Q2 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 2.02M $19M +$16.7M $9.39 5
2024 Q2 347M $3.48B +$33.2M $10.02 318
2024 Q1 343M $4.09B -$464M $11.96 313
2023 Q4 379M $4.71B +$95M $12.42 316
2023 Q3 364M $4B +$229M $10.97 333
2023 Q2 343M $4.22B +$335M $12.29 326
2023 Q1 308M $3.71B -$215M $12.06 304
2022 Q4 319M $2.74B +$61M $8.56 303
2022 Q3 314M $1.99B -$23.7M $6.32 275
2022 Q2 315M $2.52B -$98.1M $8.01 278
2022 Q1 317M $2.85B +$117M $8.99 286
2021 Q4 301M $3.16B +$396M $10.50 300
2021 Q3 265M $2.08B +$411M $7.86 266
2021 Q2 211M $1.97B +$57.3M $9.34 261
2021 Q1 205M $1.85B +$173M $9.01 263
2020 Q4 188M $1.32B +$105M $7.02 244
2020 Q3 177M $478M -$130M $2.70 224
2020 Q2 217M $972M -$229M $4.47 268
2020 Q1 265M $1.37B -$148M $5.16 297
2019 Q4 281M $3.16B -$113M $11.25 338
2019 Q3 286M $3.01B -$47M $10.51 305
2019 Q2 289M $3.87B -$3.38B $13.40 321
2019 Q1 556M $6.39B +$759M $11.50 357
2018 Q4 495M $3.25B -$118M $6.56 323
2018 Q3 506M $6.36B +$269M $12.56 339
2018 Q2 483M $6.81B -$188M $14.10 319
2018 Q1 497M $9.1B -$259M $18.30 359
2017 Q4 512M $10.2B -$302M $19.89 346
2017 Q3 525M $8.68B +$250M $16.53 322
2017 Q2 493M $9.25B -$73.8M $18.76 342
2017 Q1 506M $9.18B +$684M $18.13 336
2016 Q4 493M $9.03B +$3.86B $18.31 326
2016 Q3 263M $6.16B +$4.62B $23.50 242
2016 Q2 61M $1.59B +$62.5M $25.99 141
2016 Q1 58.4M $1.63B +$172M $27.83 164
2015 Q4 56.9M $1.46B -$358M $25.63 175
2015 Q3 64.3M $1.74B -$222M $27.06 160
2015 Q2 71.3M $2.28B -$74.5M $31.97 162
2015 Q1 73.5M $1.78B -$129M $24.27 127
2014 Q4 79.2M $1.64B -$48.1M $20.66 127
2014 Q3 80.5M $1.33B +$82.7M $16.55 110
2014 Q2 75.4M $1.29B +$12.3M $17.13 116
2014 Q1 73.1M $1.09B +$57.8M $14.98 115