GMS Inc. - COM (GMS)

Historical Portfolio Holders from Q2 2016 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
40.4M
Holdings value Q2 2024
$3.25B
Value change Q2 2024
+$97.4M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
287
Number of buys Q2 2024
139
Number of sells Q2 2024
-165
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 18.4K $1.66M -$456K $90.57 4
2024 Q2 40.4M $3.25B +$97.4M $80.61 287
2024 Q1 38.9M $3.79B +$7.25M $97.34 315
2023 Q4 38.9M $3.21B +$9.21M $82.43 280
2023 Q3 39M $2.49B -$61.2M $63.97 281
2023 Q2 39.9M $2.76B -$54.3M $69.20 275
2023 Q1 40.7M $2.36B -$16M $57.89 238
2022 Q4 41M $2.04B +$22.5M $49.80 226
2022 Q3 40.9M $1.64B -$48M $40.01 219
2022 Q2 42M $1.87B -$8.19M $44.50 200
2022 Q1 42.3M $2.11B +$33.2M $49.77 203
2021 Q4 41.5M $2.5B -$53.4M $60.11 211
2021 Q3 42.2M $1.85B -$7.64M $43.80 188
2021 Q2 42.4M $2.04B +$12M $48.14 190
2021 Q1 42.1M $1.76B +$19M $41.75 185
2020 Q4 40.8M $1.24B +$15.5M $30.48 170
2020 Q3 40.2M $968M -$144K $24.10 161
2020 Q2 40.1M $986M +$34.9M $24.59 168
2020 Q1 39.4M $619M -$19.4M $15.73 171
2019 Q4 39.5M $1.07B +$40.4M $27.08 187
2019 Q3 37.2M $1.07B +$232M $28.72 177
2019 Q2 29.9M $654M +$46.2M $22.00 147
2019 Q1 29M $439M -$21.2M $15.12 129
2018 Q4 30.3M $451M -$9.24M $14.86 120
2018 Q3 30.7M $713M -$18.2M $23.20 121
2018 Q2 31.2M $845M +$5.52M $27.09 145
2018 Q1 30.6M $935M +$5.5M $30.56 145
2017 Q4 29.9M $1.12B +$207M $37.64 156
2017 Q3 24.3M $861M +$70.4M $35.40 133
2017 Q2 22.7M $639M +$183M $28.10 114
2017 Q1 16M $560M +$304M $35.04 94
2016 Q4 7.99M $234M +$433K $29.28 66
2016 Q3 7.96M $177M -$3.6M $22.23 66
2016 Q2 8.12M $180M +$180M $22.25 63