HD SUPPLY HLDGS INC - COM (HDS) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2021

Type / Class
Equity / COM
Symbol
HDS
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of HD SUPPLY HLDGS INC - COM (HDS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q4 0 $0 -$141,000 0
2021 Q3 4,082 $141,000 $33.95 2
2021 Q1 0 $0 -$19,734,432 0
2020 Q4 345,687 $19,355,432 -$6,440,499,245 $56.00 2
2020 Q3 156,494,981 $6,449,888,583 -$186,454,809 $41.24 345
2020 Q2 161,236,303 $5,579,735,518 +$126,060,917 $34.65 348
2020 Q1 158,233,360 $4,496,082,522 -$38,817,222 $28.43 333
2019 Q4 157,568,452 $6,325,196,677 -$151,038,100 $40.22 383
2019 Q3 160,596,386 $6,281,680,993 -$181,838,001 $39.18 359
2019 Q2 165,053,389 $6,629,607,924 +$69,637,645 $40.28 390
2019 Q1 164,336,334 $7,107,844,150 -$181,839,121 $43.35 383
2018 Q4 168,381,612 $6,309,961,362 -$369,960,632 $37.52 371
2018 Q3 177,656,989 $7,597,789,744 -$3,962,482 $42.79 372
2018 Q2 177,561,976 $7,614,781,972 +$90,518,317 $42.89 361
2018 Q1 180,705,602 $6,855,462,809 +$173,360,970 $37.94 342
2017 Q4 175,843,359 $7,038,345,968 -$566,871,774 $40.03 360
2017 Q3 191,228,021 $6,897,653,435 -$65,118,473 $36.07 310
2017 Q2 191,781,502 $5,874,548,518 -$242,957,372 $30.63 358
2017 Q1 196,444,654 $8,077,802,239 +$368,303,654 $41.12 376
2016 Q4 195,399,661 $8,306,408,561 -$41,299,878 $42.51 369
2016 Q3 198,517,768 $6,347,626,779 +$77,805,446 $31.98 319
2016 Q2 196,185,301 $6,832,194,340 +$228,313,764 $34.82 345
2016 Q1 193,051,976 $6,379,497,072 -$33,284,365 $33.07 316
2015 Q4 194,702,723 $5,847,458,847 +$86,542,520 $30.03 298
2015 Q3 190,519,230 $5,450,356,165 -$136,581,385 $28.62 292
2015 Q2 186,636,704 $6,565,370,563 +$66,551,152 $35.18 278
2015 Q1 185,422,846 $5,776,931,959 +$376,985,832 $31.16 240
2014 Q4 172,935,370 $5,098,902,359 -$195,855,482 $29.49 220
2014 Q3 183,241,919 $4,994,984,660 +$139,944,737 $27.26 196
2014 Q2 178,062,278 $5,050,759,099 -$5,996,760 $28.39 168
2014 Q1 176,502,921 $4,622,171,874 +$13,190,152 $26.15 149