FLOWSERVE CORP - COM (FLS)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
121M
Holdings value Q3 2024
$6.28B
Value change Q3 2024
-$141M
Grand Portfolio weight change Q3 2024
0%
Number of holders
429
Number of buys Q3 2024
224
Number of sells Q3 2024
-183
Average buys Q3 2024 %
+0.002%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 121M $6.28B -$141M $51.69 431
2024 Q2 125M $6.01B +$86.2M $48.10 415
2024 Q1 123M $5.63B +$76.1M $45.68 394
2023 Q4 122M $5.04B -$36.1M $41.22 374
2023 Q3 123M $4.89B -$137M $39.77 335
2023 Q2 127M $4.7B -$131M $37.15 310
2023 Q1 130M $4.42B -$66.4M $34.00 273
2022 Q4 132M $4.06B +$18.1M $30.68 262
2022 Q3 133M $3.23B +$45.7M $24.30 233
2022 Q2 131M $3.75B +$75.5M $28.63 241
2022 Q1 127M $4.56B +$188M $35.90 261
2021 Q4 122M $3.74B -$54.8M $30.60 277
2021 Q3 124M $4.28B -$4.56M $34.67 271
2021 Q2 125M $5.03B -$7.31M $40.32 281
2021 Q1 125M $4.85B -$93.3M $38.81 288
2020 Q4 128M $4.71B -$40.9M $36.85 294
2020 Q3 129M $3.53B +$141M $27.29 277
2020 Q2 124M $3.54B -$30.5M $28.52 295
2020 Q1 126M $3.01B -$105M $23.89 300
2019 Q4 126M $6.27B -$90.1M $49.77 354
2019 Q3 126M $5.9B -$32M $46.71 348
2019 Q2 127M $6.68B -$65.8M $52.69 372
2019 Q1 128M $5.8B -$230M $45.14 374
2018 Q4 134M $5.08B +$9.83M $38.02 383
2018 Q3 133M $7.27B -$247M $54.69 392
2018 Q2 138M $5.58B +$8.18M $40.40 365
2018 Q1 138M $5.97B +$116M $43.33 374
2017 Q4 135M $5.7B -$16.6M $42.13 370
2017 Q3 135M $5.77B +$70.7M $42.59 368
2017 Q2 132M $6.14B +$11.5M $46.43 404
2017 Q1 135M $6.54B +$262M $48.42 386
2016 Q4 137M $6.59B +$357M $48.05 398
2016 Q3 129M $6.23B +$43.2M $48.24 389
2016 Q2 129M $5.83B -$62.7M $45.17 416
2016 Q1 130M $5.77B +$78M $44.41 395
2015 Q4 129M $5.41B -$63.9M $42.08 393
2015 Q3 130M $5.34B +$105M $41.14 397
2015 Q2 126M $6.65B -$169M $52.66 452
2015 Q1 129M $7.29B +$192M $56.49 440
2014 Q4 126M $7.51B +$75M $59.83 450
2014 Q3 124M $8.74B +$473K $70.52 450
2014 Q2 124M $9.19B -$121M $74.35 478
2014 Q1 124M $9.73B -$181M $78.34 487