Fortive Corp - COM (FTV)

Historical Portfolio Holders from Q3 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
322M
Holdings value Q3 2024
$25.4B
Value change Q3 2024
-$593M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
825
Number of buys Q3 2024
362
Number of sells Q3 2024
-380
Average buys Q3 2024 %
+0.003%
Average sells Q3 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 322M $25.4B -$593M $78.93 826
2024 Q2 332M $24.6B +$171M $74.10 821
2024 Q1 327M $28.1B -$322M $86.02 843
2023 Q4 334M $24.6B -$248M $73.63 795
2023 Q3 336M $24.9B -$362M $74.16 757
2023 Q2 341M $25.5B +$256M $74.77 745
2023 Q1 338M $23B +$288M $68.17 752
2022 Q4 334M $21.5B -$269M $64.25 753
2022 Q3 339M $19.8B -$2.24B $58.30 700
2022 Q2 335M $18.2B -$247M $54.38 703
2022 Q1 341M $20.8B -$260M $60.93 735
2021 Q4 342M $26.1B +$130M $76.29 774
2021 Q3 339M $23.9B +$873M $70.57 722
2021 Q2 327M $22.8B +$1.02B $69.74 720
2021 Q1 312M $22B -$153M $70.64 728
2020 Q4 315M $22.3B +$1.91B $70.82 749
2020 Q3 287M $21.9B -$545M $76.21 743
2020 Q2 294M $19.9B +$949M $67.66 710
2020 Q1 281M $15.5B -$62.8M $55.19 692
2019 Q4 279M $21.3B -$105M $76.39 807
2019 Q3 280M $19.2B -$105M $68.56 763
2019 Q2 281M $22.9B +$4.63M $81.52 795
2019 Q1 284M $23.8B +$56.5M $83.89 810
2018 Q4 284M $19.2B -$5.56B $67.66 780
2018 Q3 358M $30.2B +$5.98B $84.20 829
2018 Q2 287M $22.1B +$423M $77.11 813
2018 Q1 283M $21.9B -$32.6M $77.52 821
2017 Q4 283M $20.5B +$389M $72.35 827
2017 Q3 275M $19.5B +$87.4M $70.79 765
2017 Q2 274M $17.4B +$58.2M $63.35 750
2017 Q1 273M $16.4B +$1.18B $60.22 762
2016 Q4 270M $14.5B +$34M $53.63 763
2016 Q3 267M $13.6B +$13.4B $50.90 753
2016 Q2 3.95M $195M +$193M $49.26 19
2016 Q1 325 $23K $0 $70.03 2
2014 Q3 133K $9.44M $0 $70.80 1