DXC Technology Co - COM (DXC)

Historical Portfolio Holders from Q1 2016 to Q2 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
169 M
Holdings value Q1 2024
$3.59 B
Value change Q1 2024
+$6.97 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
402
Number of buys Q1 2024
156
Number of sells Q1 2024
-207
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.001%
CUSIP
23355L106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 27.4 K $533 K -$5.31 K $19.09 4
2024 Q1 169 M $3.6 B +$6.97 M $21.21 405
2023 Q4 176 M $4.02 B -$46.3 M $22.87 415
2023 Q3 178 M $3.71 B -$60.8 M $20.83 414
2023 Q2 180 M $4.81 B -$395 M $26.72 457
2023 Q1 195 M $5 B -$197 M $25.56 471
2022 Q4 200 M $5.31 B -$140 M $26.50 505
2022 Q3 192 M $4.71 B +$154 M $24.48 435
2022 Q2 185 M $5.59 B -$233 M $30.31 441
2022 Q1 207 M $6.77 B -$255 M $32.63 469
2021 Q4 215 M $6.92 B -$114 M $32.19 475
2021 Q3 217 M $7.3 B +$18.7 M $33.61 482
2021 Q2 217 M $8.45 B +$224 M $38.94 514
2021 Q1 213 M $6.64 B +$119 M $31.26 471
2020 Q4 211 M $5.44 B +$1.11 M $25.75 483
2020 Q3 214 M $3.81 B -$75.4 M $17.85 448
2020 Q2 216 M $3.56 B -$20.7 M $16.50 460
2020 Q1 214 M $2.79 B -$272 M $13.05 472
2019 Q4 228 M $8.55 B +$231 M $37.59 580
2019 Q3 223 M $6.57 B -$417 M $29.50 573
2019 Q2 224 M $12.3 B +$343 M $55.15 664
2019 Q1 227 M $14.6 B -$48.2 M $64.31 715
2018 Q4 229 M $12.2 B -$902 M $53.17 694
2018 Q3 238 M $22.2 B -$139 M $93.52 822
2018 Q2 242 M $19.5 B +$35.5 M $80.61 784
2018 Q1 242 M $24.3 B -$160 M $100.53 845
2017 Q4 243 M $23.1 B -$182 M $94.90 796
2017 Q3 245 M $21 B +$5.12 M $85.88 690
2017 Q2 245 M $18.8 B +$18.1 B $76.72 661
2017 Q1 5.1 M $352 M +$352 M $69.21 55
2016 Q4 317 $19 K $0 $59.94 1
2016 Q3 21.7 K $1.87 M $0 $85.89 1
2016 Q1 8.42 K $541 K +$541 K $64.28 1