Period | Shares, Excl. Options | Value, Excl. Options | Change | Price | Investors |
---|---|---|---|---|---|
2024 Q3 | 17.5M | $1.75B | +$89.3M | $100.25 | 313 |
2024 Q2 | 372M | $28.9B | +$604M | $77.63 | 784 |
2024 Q1 | 362M | $24.8B | -$433M | $68.43 | 685 |
2023 Q4 | 371M | $20.1B | +$497M | $54.12 | 648 |
2023 Q3 | 362M | $16.7B | -$577M | $46.25 | 596 |
2023 Q2 | 374M | $18.5B | -$172M | $49.56 | 590 |
2023 Q1 | 374M | $15.8B | -$60.3M | $42.37 | 547 |
2022 Q4 | 377M | $14.8B | -$211M | $39.41 | 522 |
2022 Q3 | 382M | $11.8B | +$74.4M | $30.93 | 498 |
2022 Q2 | 380M | $11.9B | +$132M | $31.45 | 478 |
2022 Q1 | 376M | $13.5B | -$314M | $35.94 | 486 |
2021 Q4 | 385M | $12.3B | +$44.3M | $31.83 | 465 |
2021 Q3 | 386M | $12B | -$30.9M | $31.20 | 453 |
2021 Q2 | 385M | $13.3B | -$47.5M | $34.47 | 470 |
2021 Q1 | 387M | $12.4B | +$242M | $32.13 | 451 |
2020 Q4 | 380M | $10.9B | +$124M | $28.54 | 435 |
2020 Q3 | 378M | $6.33B | -$128M | $16.72 | 374 |
2020 Q2 | 387M | $6.13B | +$4.84B | $15.85 | 368 |
2020 Q1 | 81.4M | $1.26B | +$1.26B | $16.06 | 112 |
2019 Q4 | 3.56K | $108K | $0 | $30.77 | 4 |
2019 Q3 | 3.31K | $91.5K | -$35.1K | $26.00 | 3 |
2019 Q2 | 4.66K | $126K | $0 | $25.82 | 3 |
2019 Q1 | 4.66K | $98.6K | -$19.2K | $19.11 | 3 |
2018 Q4 | 5.07K | $85.4K | -$1.74K | $16.86 | 2 |
2018 Q3 | 5.17K | $114K | +$6.23K | $22.01 | 2 |
2018 Q2 | 4.89K | $83.1K | +$714 | $17.01 | 1 |
2018 Q1 | 4.85K | $112K | $0 | $23.04 | 1 |
2017 Q4 | 4.85K | $132K | -$33.3K | $27.25 | 1 |
2017 Q3 | 6.07K | $151K | +$62.9K | $24.88 | 2 |
2017 Q2 | 3.55K | $80.3K | +$2.27K | $22.65 | 2 |
2017 Q1 | 3.45K | $90.7K | -$8.72K | $26.34 | 2 |
2016 Q4 | 3.78K | $70K | -$169K | $18.54 | 2 |
2016 Q3 | 12.8K | $130K | -$31.9K | $10.14 | 1 |
2016 Q2 | 15.9K | $148K | +$8.06K | $9.27 | 1 |
2016 Q1 | 15.1K | $144K | $0 | $9.58 | 1 |