EPAM Systems, Inc. - COM (EPAM)

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
50.1M
Holdings value Q3 2024
$9.98B
Value change Q3 2024
-$431M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
541
Number of buys Q3 2024
303
Number of sells Q3 2024
-226
Average buys Q3 2024 %
+0.003%
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 50.1M $9.98B -$431M $199.03 545
2024 Q2 52.3M $9.84B -$141M $188.11 526
2024 Q1 51.5M $14.2B -$410M $276.16 558
2023 Q4 52.9M $15.7B +$107M $297.34 550
2023 Q3 52.5M $13.4B -$155M $255.69 506
2023 Q2 53M $11.9B -$36.4M $224.75 492
2023 Q1 52.8M $15.8B -$93.4M $299.00 556
2022 Q4 53.2M $17.4B -$102M $327.74 598
2022 Q3 53.6M $19.4B +$485M $362.19 575
2022 Q2 52.3M $15.5B +$454M $294.78 569
2022 Q1 51M $15.1B -$1.28B $296.61 551
2021 Q4 52.8M $35.2B +$717M $668.45 669
2021 Q3 51.6M $29.4B -$396M $570.48 591
2021 Q2 52.3M $26.7B +$61.5M $510.96 541
2021 Q1 52.4M $20.8B +$296M $396.69 476
2020 Q4 51.6M $18.5B -$151M $358.35 484
2020 Q3 52M $16.8B -$34M $323.28 465
2020 Q2 52.1M $13.1B -$57.3M $252.01 426
2020 Q1 52.5M $9.75B +$402M $185.66 397
2019 Q4 50.2M $10.6B +$123M $212.16 409
2019 Q3 50M $9.1B -$56.4M $182.32 378
2019 Q2 50.2M $8.69B +$321M $173.10 375
2019 Q1 50.1M $8.48B -$79.5M $169.13 335
2018 Q4 51M $5.92B +$40.6M $116.01 303
2018 Q3 50.5M $6.96B +$224M $137.70 314
2018 Q2 49M $6.09B +$16.6M $124.33 320
2018 Q1 48.9M $5.6B +$49.8M $114.52 312
2017 Q4 48.5M $5.21B +$140M $107.43 277
2017 Q3 47.4M $4.16B +$123M $87.93 248
2017 Q2 46.2M $3.88B -$52.1M $84.09 237
2017 Q1 47.1M $3.56B +$229M $75.52 213
2016 Q4 47.1M $3.03B -$140M $64.31 202
2016 Q3 49.1M $3.4B +$68.9M $69.31 200
2016 Q2 48.2M $3.1B +$129M $64.31 227
2016 Q1 46.1M $3.44B +$94.5M $74.67 213
2015 Q4 45.4M $3.57B +$23.1M $78.62 224
2015 Q3 45M $3.35B +$70.5M $74.52 192
2015 Q2 43.6M $3.1B +$103M $71.23 194
2015 Q1 42.6M $2.62B +$34.8M $61.29 184
2014 Q4 40.1M $1.92B -$28.9M $47.75 156
2014 Q3 43M $1.88B +$562K $43.79 140
2014 Q2 43M $1.88B +$42.9M $43.75 142
2014 Q1 42.5M $1.4B +$12.9M $32.90 148