Fanuc Ltd - Common Stock (FANUY)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / Common Stock
Shares, excl. options Q2 2024
4.38M
Holdings value Q2 2024
$60M
Value change Q2 2024
+$4.4K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
10
Number of buys Q2 2024
6
Number of sells Q2 2024
-4
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 4.38M $60M +$4.4K $13.74 10
2024 Q1 4.38M $61.1M +$8.57M $13.93 10
2023 Q4 3.64M $53.6M -$328M $14.63 10
2023 Q3 28.7M $375M +$10.7M $13.00 15
2023 Q2 28.1M $490M +$13.6M $17.41 17
2023 Q1 27.3M $490M +$15.7M $17.95 13
2022 Q4 26.4M $397M +$3.28M $15.03 13
2022 Q3 26.1M $366M +$7.74M $14.00 15
2022 Q2 25.6M $399M +$14.1M $15.58 15
2022 Q1 24.6M $438M +$17.3M $17.74 16
2021 Q4 23.6M $499M +$21.8M $21.22 18
2021 Q3 22.5M $496M +$15.6M $22.05 19
2021 Q2 21.8M $526M -$39.8M $24.00 21
2021 Q1 23.4M $557M +$24.4M $23.77 20
2020 Q4 22.4M $550M -$63.6M $24.58 21
2020 Q3 25.9M $494M +$129M $19.10 18
2020 Q2 19M $340M +$29.1M $17.83 14
2020 Q1 17.4M $235M +$3.01M $13.39 16
2019 Q4 17.1M $320M +$7.61M $18.48 19
2019 Q3 16.7M $315M +$10.9M $18.82 18
2019 Q2 16.1M $299M +$12.5M $18.48 22
2019 Q1 15.5M $264M +$14.6M $17.04 19
2018 Q4 14.6M $222M -$2.62M $15.17 17
2018 Q3 14.7M $278M +$9.1M $18.85 22
2018 Q2 14.2M $283M +$2.15M $19.84 26
2018 Q1 13.9M $349M +$18.7M $24.99 24
2017 Q4 13.2M $317M +$11.3M $24.04 23
2017 Q3 12.9M $261M +$9.2M $20.25 19
2017 Q2 12.3M $238M +$122M $19.29 17
2017 Q1 6M $123M +$529K $20.55 15
2016 Q4 5.99M $101M +$41.6M $16.66 13
2016 Q3 3.53M $98.9M +$5.06M $28.10 16
2016 Q2 3.35M $88.6M -$1.86M $26.88 16
2016 Q1 3.42M $94.7M -$11.2M $25.84 13
2015 Q4 3.82M $111M +$18.2M $28.81 19
2015 Q3 3.19M $81.3M -$17.3M $25.64 18
2015 Q2 3.58M $122M -$96.5M $34.20 21
2015 Q1 6.22M $227M +$81.8M $36.53 25
2014 Q4 4.17M $115M -$70.4M $27.53 20
2014 Q3 6.5M $196M -$125M $30.12 23
2014 Q2 10.7M $309M +$18.1M $28.75 23
2014 Q1 10.1M $298M +$6.37M $29.46 24