FLEETCOR TECHNOLOGIES INC - COM (FLT)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
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
2024 Q2 0 $0 -$23M 0
2024 Q1 75K $23M -$18.7B $303.96 11
2023 Q4 66.4M $18.8B -$38.4M $282.61 568
2023 Q3 66.5M $17B -$900M $255.34 546
2023 Q2 70M $17.6B +$266M $251.08 523
2023 Q1 69.6M $14.7B +$739M $210.85 498
2022 Q4 66.6M $12.2B -$200M $183.68 514
2022 Q3 67.5M $11.9B -$856M $176.17 492
2022 Q2 68.6M $14.4B -$237M $210.11 519
2022 Q1 69.9M $17.4B -$364M $249.06 526
2021 Q4 71.5M $16B -$1.06B $223.84 499
2021 Q3 75.7M $19.8B +$173M $261.27 495
2021 Q2 75.1M $19.2B -$304M $256.06 534
2021 Q1 76.3M $20.5B -$4.4M $268.63 532
2020 Q4 76.7M $20.9B -$615M $272.83 535
2020 Q3 79.1M $18.8B +$34.6M $238.10 498
2020 Q2 78.8M $19.8B +$120M $251.53 517
2020 Q1 78.5M $14.6B -$816M $186.54 513
2019 Q4 82.5M $23.7B +$239M $287.72 578
2019 Q3 81.7M $23.4B +$6.64M $286.78 560
2019 Q2 81.7M $22.9B +$244M $280.85 522
2019 Q1 81.5M $20.1B +$619K $246.59 495
2018 Q4 81.6M $15.2B -$635M $185.72 454
2018 Q3 84.8M $19.3B -$495M $227.84 473
2018 Q2 87.1M $18.4B +$793M $210.65 457
2018 Q1 83.4M $16.9B -$271M $202.50 419
2017 Q4 84.8M $16.3B -$215M $192.43 421
2017 Q3 85.8M $13.3B -$466M $154.77 364
2017 Q2 89.8M $12.9B +$276M $144.21 354
2017 Q1 87.6M $13.3B +$912M $151.43 381
2016 Q4 88M $12.5B -$52.7M $141.52 369
2016 Q3 87.2M $15.2B +$237M $173.73 375
2016 Q2 85.6M $12.3B +$40.8M $143.13 350
2016 Q1 85.3M $12.7B +$169M $148.75 320
2015 Q4 84.3M $12.1B +$79.6M $142.93 352
2015 Q3 82.8M $11.4B +$541M $137.62 345
2015 Q2 79.1M $12.3B +$444M $156.06 339
2015 Q1 76.2M $11.5B +$65.6M $150.92 325
2014 Q4 75.8M $11.3B +$135M $148.71 341
2014 Q3 74.8M $10.6B +$315M $142.12 316
2014 Q2 72.7M $9.58B +$271M $131.80 310
2014 Q1 71M $8.17B +$182M $115.10 304