Fidelity National Financial, Inc. - COM (FNF)

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
170K
Holdings value Q2 2024
$8.39M
Value change Q2 2024
$0
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 170K $8.39M $0 $49.42 2
2024 Q1 170K $9.01M +$531K $53.10 2
2023 Q4 160K $8.11M $0 $50.44 2
2023 Q3 160K $6.6M $0 $41.30 2
2023 Q2 160K $5.75M +$360K $36.00 2
2023 Q1 150K $5.23M +$4M $34.93 2
2022 Q4 35.2K $1.32M $0 $37.62 1
2022 Q3 35.2K $1.27M $0 $36.20 1
2022 Q2 35.2K $1.3M $0 $36.96 1
2022 Q1 35.2K $1.72M $0 $48.84 1
2021 Q4 35.2K $1.84M -$2.39M $52.19 1
2021 Q3 87.9K $3.98M -$12.9M $45.34 2
2021 Q2 386K $16.8M +$750K $43.46 4
2021 Q1 368K $15M +$1.17M $40.66 5
2020 Q4 346K $13.5M -$3.72M $39.09 6
2020 Q3 221K $6.92M +$2.16M $31.30 6
2020 Q2 152K $4.66M -$18.9K $30.66 5
2020 Q1 153K $3.85M -$800K $24.89 5
2019 Q4 170K $7.72M +$104K $45.34 7
2019 Q3 168K $7.46M -$4.21M $44.41 7
2019 Q2 273K $11M +$612K $40.29 8
2019 Q1 257K $9.41M -$49.4K $36.55 8
2018 Q4 259K $8.13M -$1M $31.44 9
2018 Q3 291K $11.4M +$171K $39.35 8
2018 Q2 286K $10.8M +$385K $37.62 9
2018 Q1 276K $11M -$9.75K $40.02 8
2017 Q4 276K $10.8M -$280K $39.23 7
2017 Q3 282K $13.4M +$440K $47.46 8
2017 Q2 273K $12.2M +$6.72K $44.83 7
2017 Q1 273K $10.6M +$56.9K $38.94 7
2016 Q4 271K $9.21M -$19K $33.96 7
2016 Q3 152K $5.62M +$148K $36.90 5
2016 Q2 157K $5.9M -$33.7K $37.50 6
2016 Q1 190K $6.44M +$434K $33.90 8
2015 Q4 177K $6.15M -$1.11M $34.67 6
2015 Q3 208K $7.39M -$19.4K $35.47 7
2015 Q2 209K $7.73M +$110K $36.99 8
2015 Q1 206K $7.56M -$2.2M $36.76 9
2014 Q4 272K $9.36M -$10.6M $34.45 10
2014 Q3 395K $11.2M -$6.29B $27.74 11
2014 Q2 194M $6.31B -$1.25B $32.76 300
2014 Q1 230M $7.23B +$220M $31.44 370