EQUINIX INC - COM (EQIX)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
544
Holdings value Q2 2024
$411K
Value change Q2 2024
+$5.26K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
0
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 544 $411K +$5.26K $754.47 2
2024 Q1 537 $443K -$1.5K $825.52 2
2023 Q4 540 $435K -$6.04K $806.31 2
2023 Q3 554 $403K +$20.4K $726.92 2
2023 Q2 526 $413K -$12.5K $784.24 1
2023 Q1 542 $356K $0 $657.21 1
2022 Q2 5.14K $901K -$5.91K $387.86 2
2022 Q1 5.75K $1.03M $0 $430.30 2
2021 Q4 7.32K $467K -$13.7M $423.09 2
2021 Q3 17.9K $14.9M +$577K $395,395.06 2
2021 Q2 18.2K $14.6M -$708K $804.34 2
2021 Q1 19.2K $13.1M -$1.35M $679.69 4
2020 Q4 21.2K $15.1M -$717K $713.70 4
2020 Q3 22.2K $16.9M +$759K $760.13 3
2020 Q2 20.7K $14.5M +$117K $701.13 2
2020 Q1 20.6K $12.8M $0 $623.38 2
2019 Q4 21K $12.3M -$11.3M $583.79 3
2019 Q3 40.7K $23.5M +$841K $576.83 4
2019 Q2 39.2K $19.8M -$48.4K $504.28 4
2019 Q1 39.3K $17.8M +$319K $453.18 4
2018 Q4 38.6K $13.6M -$8.03M $352.60 3
2018 Q3 61.3K $26.5M -$3.67M $432.87 4
2018 Q2 69.8K $30M +$210K $429.89 4
2018 Q1 69.3K $29M -$128K $418.14 4
2017 Q4 69.6K $31.5M +$86.6K $453.22 4
2017 Q3 69.4K $31M +$378K $446.31 4
2017 Q2 68.5K $29.4M -$10.8M $429.16 4
2017 Q1 95K $38.1M -$1.52M $400.37 5
2016 Q4 98.8K $35.3M +$85.4K $357.40 5
2016 Q3 98.6K $35.5M +$7.28M $360.25 5
2016 Q2 78.4K $30.4M -$50.3M $387.72 4
2016 Q1 230K $76M -$49.6M $330.70 4
2015 Q4 394K $119M +$11.4M $302.40 8
2015 Q3 356K $97.4M -$10.8M $273.40 7
2015 Q2 399K $101M -$28.2M $254.00 8
2015 Q1 520K $121M -$12.2B $232.85 14
2014 Q4 54.5M $12.4B -$706M $226.73 311
2014 Q3 57.7M $12.3B -$432M $212.48 333
2014 Q2 60M $12.6B -$2.92B $210.09 344
2014 Q1 71.1M $12.9B +$389M $184.84 340