EQUIFAX INC - COM (EFX)

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
116M
Holdings value Q3 2024
$33.9B
Value change Q3 2024
-$1.47B
Grand Portfolio weight change Q3 2024
-0.003%
Number of holders
812
Number of buys Q3 2024
417
Number of sells Q3 2024
-287
Average buys Q3 2024 %
+0.004%
Average sells Q3 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 116M $33.9B -$1.47B $293.86 818
2024 Q2 121M $29.2B +$954M $242.46 747
2024 Q1 117M $31.2B -$626M $267.52 746
2023 Q4 119M $29.4B +$466M $247.29 716
2023 Q3 117M $21.5B -$984M $183.18 661
2023 Q2 122M $28.7B +$293M $235.30 672
2023 Q1 121M $24.5B -$118M $202.84 653
2022 Q4 121M $23.6B +$1.07B $194.36 625
2022 Q3 116M $19.9B -$314M $171.43 611
2022 Q2 113M $20.6B +$9.56M $182.78 610
2022 Q1 112M $26.6B -$45.8M $237.10 665
2021 Q4 112M $32.7B -$183M $292.79 683
2021 Q3 112M $28.4B -$7.13M $253.42 641
2021 Q2 112M $26.7B -$359M $239.51 621
2021 Q1 113M $20.5B +$426M $181.13 568
2020 Q4 111M $21.4B -$230M $192.84 579
2020 Q3 112M $17.6B -$322M $156.90 545
2020 Q2 114M $19.6B -$31.9M $171.88 516
2020 Q1 116M $13.9B +$285M $119.45 493
2019 Q4 114M $15.9B -$79.3M $140.12 511
2019 Q3 114M $16B -$283M $140.67 499
2019 Q2 117M $15.8B +$522M $135.24 505
2019 Q1 115M $13.6B +$242M $118.50 484
2018 Q4 114M $10.6B +$138M $93.13 464
2018 Q3 109M $14.2B -$227M $130.57 526
2018 Q2 111M $13.8B +$166M $125.11 514
2018 Q1 109M $12.9B -$335M $117.81 513
2017 Q4 112M $13.2B -$375M $117.92 523
2017 Q3 115M $12.2B +$396M $105.99 506
2017 Q2 109M $15B +$421M $137.42 578
2017 Q1 107M $14.6B +$1.43B $136.74 561
2016 Q4 107M $12.7B +$144M $118.23 585
2016 Q3 106M $14.2B -$105M $134.58 573
2016 Q2 107M $13.7B -$2.2M $128.40 560
2016 Q1 105M $12B +$42.6M $114.29 544
2015 Q4 105M $11.7B +$352M $111.37 532
2015 Q3 102M $9.95B -$172M $97.18 496
2015 Q2 103M $10B -$104M $97.09 469
2015 Q1 104M $9.69B -$146M $93.00 447
2014 Q4 106M $8.56B +$57.1M $80.87 432
2014 Q3 104M $7.79B -$135M $74.74 412
2014 Q2 106M $7.69B -$141M $72.54 397
2014 Q1 108M $7.35B +$190M $68.03 399