Experian PLC - COM (EXPGY)

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
2.15M
Holdings value Q2 2024
$100M
Value change Q2 2024
+$1.47M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
19
Number of buys Q2 2024
10
Number of sells Q2 2024
-8
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 2.15M $100M +$1.47M $46.64 19
2024 Q1 2.12M $92.3M -$5.52M $43.54 18
2023 Q4 2M $81.7M -$35.8M $40.74 14
2023 Q3 3.1M $102M -$233K $32.64 20
2023 Q2 3.11M $119M +$2.42M $38.37 17
2023 Q1 3.05M $100M +$44.9K $32.89 13
2022 Q4 3.05M $103M -$4.36M $33.84 12
2022 Q3 3.16M $93.4M -$3.8M $29.44 13
2022 Q2 3.29M $96.3M -$34.3K $29.29 15
2022 Q1 3.29M $128M +$3.98M $38.66 15
2021 Q4 3.18M $157M +$2.86M $49.31 16
2021 Q3 3.12M $131M +$9.08M $41.90 13
2021 Q2 2.9M $112M -$41.2M $38.61 19
2021 Q1 4.13M $142M -$12.7M $34.45 18
2020 Q4 4.49M $170M +$4.87M $37.96 20
2020 Q3 4.36M $164M -$5.4M $37.69 18
2020 Q2 4.54M $159M +$47.8M $34.84 18
2020 Q1 3.17M $88.4M +$2.92M $27.91 17
2019 Q4 3.06M $104M +$1.93M $33.81 15
2019 Q3 3.01M $96.4M +$17.3M $32.03 15
2019 Q2 2.47M $74.9M -$1.84M $30.35 16
2019 Q1 2.53M $68.5M +$4.52M $27.08 17
2018 Q4 2.36M $57.1M +$4.31M $24.26 13
2018 Q3 2.18M $56.1M -$4.63M $25.70 10
2018 Q2 2.36M $58.4M +$5.38M $24.75 9
2018 Q1 1.9M $41.1M +$480K $21.57 9
2017 Q4 1.88M $41.3M +$13.3M $22.13 9
2017 Q3 1.29M $25.9M -$2.44M $20.11 9
2017 Q2 1.4M $28.8M -$159M $20.46 10
2017 Q1 9.18M $188M +$23.7M $20.40 10
2016 Q4 8.03M $155M -$7.13M $19.32 12
2016 Q3 8.39M $168M +$134M $20.00 13
2016 Q2 1.69M $32.1M -$2.09M $18.94 10
2016 Q1 1.81M $32.3M +$429K $17.90 11
2015 Q4 1.78M $31.6M +$13.3M $17.70 12
2015 Q3 1.04M $16.6M -$13M $16.03 9
2015 Q2 1.59M $29M -$139M $18.23 12
2015 Q1 9.72M $161M +$82.5M $16.58 13
2014 Q4 4.74M $80.3M -$28.1M $16.96 10
2014 Q3 6.42M $102M +$7.5M $15.94 12
2014 Q2 5.94M $100M +$3.02M $16.89 11
2014 Q1 5.74M $103M +$21.3M $18.02 13