Hilton Worldwide Holdings Inc. - COM (HLT)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
230M
Holdings value Q3 2024
$53.1B
Value change Q3 2024
-$1.38B
Grand Portfolio weight change Q3 2024
-0.003%
Number of holders
897
Number of buys Q3 2024
446
Number of sells Q3 2024
-393
Average buys Q3 2024 %
+0.006%
Average sells Q3 2024 %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 230M $53.1B -$1.38B $230.50 914
2024 Q2 235M $51.4B +$382M $218.20 888
2024 Q1 234M $49.9B -$681M $213.31 851
2023 Q4 241M $44B -$472M $182.09 792
2023 Q3 243M $36.4B -$1.15B $150.18 726
2023 Q2 250M $36.4B -$234M $145.55 743
2023 Q1 252M $35.5B -$470M $140.87 745
2022 Q4 256M $32.3B -$562M $126.36 716
2022 Q3 261M $31.5B -$1.06B $120.62 651
2022 Q2 263M $29.3B -$767M $111.44 673
2022 Q1 269M $40.8B -$602M $151.74 690
2021 Q4 273M $42.5B +$575M $155.99 679
2021 Q3 270M $35.6B -$268M $132.11 618
2021 Q2 271M $32.7B -$140M $120.62 611
2021 Q1 272M $32.8B +$50M $120.92 633
2020 Q4 272M $30.3B -$128M $111.26 585
2020 Q3 274M $23.3B -$173M $85.32 531
2020 Q2 276M $20.3B -$80.3M $73.45 497
2020 Q1 277M $18.9B -$325M $68.24 467
2019 Q4 274M $30.4B -$227M $110.91 552
2019 Q3 276M $25.7B -$395M $93.11 510
2019 Q2 281M $27.5B -$797M $97.74 522
2019 Q1 292M $24.2B -$452M $83.11 511
2018 Q4 298M $21.4B +$283M $71.80 464
2018 Q3 288M $23.3B -$383M $80.78 465
2018 Q2 293M $23.2B +$5.5B $79.16 491
2018 Q1 226M $17.8B -$179M $78.76 459
2017 Q4 310M $24.7B -$2.43B $79.86 448
2017 Q3 341M $23.7B +$1.08B $69.45 387
2017 Q2 326M $20.2B -$392M $61.85 378
2017 Q1 333M $19.5B +$6.74B $58.46 314
2016 Q4 107M $2.91B +$2.91B $27.20 97
2016 Q3 22.1K $1.18M +$1K $22.94 4
2016 Q2 7.4K $167K -$34.9K $22.53 2
2016 Q1 8.95K $202K $0 $22.52 2
2015 Q3 0 $0 -$276K 0
2015 Q2 10K $276K +$276K $27.60 1