EXPRESS SCRIPTS HLDG CO - COM (ESRX)

Historical Portfolio Holders from Q1 2014 to Q2 2020

All holders as of June 30, 2020
Q2 2020
Type / Class
Equity / COM
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2020 Q2 0 $0 -$55.3K 0
2020 Q1 800 $55.3K -$241K $69.08 1
2019 Q4 3.51K $241K -$97K $68.70 1
2019 Q3 1.05K $97K -$260K $92.38 1
2019 Q2 3.99K $357K -$46.5M $84.55 2
2019 Q1 525K $46.8M -$15.9M $92.38 3
2018 Q4 378K $35.8M -$46.9B $92.38 13
2018 Q3 496M $47.1B +$255M $95.01 1,118
2018 Q2 493M $38.1B +$205M $77.21 1,092
2018 Q1 492M $34B -$713M $69.08 1,100
2017 Q4 503M $37.5B -$193M $74.64 1,096
2017 Q3 506M $32B -$744M $63.32 1,013
2017 Q2 518M $33.1B -$740M $63.84 1,017
2017 Q1 528M $34.8B +$2.81B $65.91 1,083
2016 Q4 523M $36B -$1.33B $68.79 1,120
2016 Q3 536M $37.8B -$1.42B $70.53 1,118
2016 Q2 556M $42.1B -$1.31B $75.80 1,179
2016 Q1 574M $39.4B -$1.51B $68.69 1,183
2015 Q4 593M $51.9B -$2.32B $87.41 1,255
2015 Q3 620M $50.2B -$2.65B $80.96 1,197
2015 Q2 654M $58.2B +$1.85B $88.94 1,220
2015 Q1 632M $54.8B -$107M $86.77 1,186
2014 Q4 634M $53.7B +$961M $84.67 1,166
2014 Q3 620M $43.8B -$1.35B $70.63 1,081
2014 Q2 642M $44.5B -$2B $69.33 1,069
2014 Q1 669M $50.2B -$838M $75.09 1,107