Alphabet Inc. - CL A (GOOGL)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / CL A
Shares, excl. options Q3 2024
50.7K
Holdings value Q3 2024
$8.4M
Value change Q3 2024
-$6.61M
Grand Portfolio weight change Q3 2024
0%
Number of holders
5
Number of buys Q3 2024
3
Number of sells Q3 2024
-3
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 50.7K $8.4M -$6.61M $165.85 5
2024 Q2 164K $30M -$7.1M $182.15 11
2024 Q1 216K $32.7M +$6.45M $150.93 11
2023 Q4 174K $24.3M -$439K $139.69 10
2023 Q3 176K $23M +$4.61M $130.86 10
2023 Q2 142K $16.9M -$69.5K $119.70 8
2023 Q1 142K $14.8M -$556K $103.73 11
2022 Q4 149K $13.2M -$2.56M $88.23 9
2022 Q3 174K $16.6M +$15.6M $95.65 11
2022 Q2 8.44K $18.4M +$3.32M $2,179.10 12
2022 Q1 6.75K $18.8M -$11.1M $2,782.33 14
2021 Q4 10.6K $30.7M -$373K $2,896.79 18
2021 Q3 9.79K $26.1M -$937M $2,673.54 18
2021 Q2 393K $961M +$903M $2,441.99 21
2021 Q1 25K $51.6M -$690K $2,062.75 19
2020 Q4 25.6K $44.9M -$12.3M $1,752.58 20
2020 Q3 34.3K $50.2M -$2.84M $1,465.80 20
2020 Q2 36.3K $51.5M -$393K $1,417.81 20
2020 Q1 37.4K $43.3M -$6.88M $1,162.01 21
2019 Q4 35.4K $47.4M -$3.9M $1,339.36 21
2019 Q3 44K $53.7M +$250K $1,221.14 23
2019 Q2 43.9K $47.5M -$21M $1,082.55 24
2019 Q1 62K $73M +$6.43M $1,176.75 26
2018 Q4 56.8K $59.3M -$1M $1,044.93 26
2018 Q3 58.7K $70.8M -$8.69M $1,206.93 30
2018 Q2 66.5K $75.1M -$18.8M $1,129.17 32
2018 Q1 99.2K $103M -$2.28M $1,037.03 36
2017 Q4 100K $105M -$18.3M $1,053.31 39
2017 Q3 118K $115M -$37.7M $973.67 40
2017 Q2 159K $148M -$14.5M $929.68 41
2017 Q1 177K $150M -$5.8M $847.76 44
2016 Q4 185K $146M +$7.48M $792.45 46
2016 Q3 191K $150M -$14.8M $804.03 52
2016 Q2 213K $150M -$36.6M $703.51 59
2016 Q1 269K $198M -$207M $762.89 64
2015 Q4 514K $399M -$146B $778.00 105
2015 Q3 230M $146B +$4.54B $638.37 1,324
2015 Q2 226M $122B -$4.44B $540.04 1,711
2015 Q1 234M $130B +$1.7B $554.70 1,706
2014 Q4 231M $122B -$2.05B $530.66 1,679
2014 Q3 231M $136B +$6.28B $588.41 1,612
2014 Q2 220M $129B -$7.67B $584.67 1,612
2014 Q1 212M $236B -$17.3B $1,114.51 1,521