HUBSPOT INC - COM (HUBS)

Historical Portfolio Holders from Q4 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
45.3M
Holdings value Q3 2024
$24.1B
Value change Q3 2024
-$396M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
696
Number of buys Q3 2024
331
Number of sells Q3 2024
-380
Average buys Q3 2024 %
+0.004%
Average sells Q3 2024 %
-0.018%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 45.3M $24.1B -$396M $531.60 698
2024 Q2 45.8M $27B +$495M $589.79 778
2024 Q1 44.9M $28.2B +$102M $626.56 708
2023 Q4 45M $26.1B +$442M $580.54 691
2023 Q3 44.3M $21.8B +$262M $492.50 669
2023 Q2 43.9M $23.3B -$390M $532.09 672
2023 Q1 44.8M $19.2B -$30M $428.75 620
2022 Q4 45.3M $13.1B +$202M $289.13 556
2022 Q3 44.6M $12.1B +$156M $270.12 536
2022 Q2 43.9M $13.2B +$26.3M $300.65 557
2022 Q1 43.4M $20.6B -$13.7M $474.94 605
2021 Q4 43.1M $28.4B -$89.2M $659.15 635
2021 Q3 43.1M $29.1B +$398M $676.09 584
2021 Q2 42.5M $24.8B +$87.1M $582.72 538
2021 Q1 42.5M $19.3B +$645M $454.21 490
2020 Q4 41.3M $16.4B -$95M $396.44 466
2020 Q3 41.6M $12.2B -$195M $292.23 355
2020 Q2 42.3M $9.49B +$21.5M $224.35 338
2020 Q1 42.8M $5.69B +$269M $133.19 278
2019 Q4 40.4M $6.41B +$153M $158.50 286
2019 Q3 39.4M $5.97B -$68M $151.61 294
2019 Q2 39.8M $6.79B +$66.8M $170.52 305
2019 Q1 40.2M $6.69B +$351M $166.21 284
2018 Q4 38.3M $4.82B +$123M $125.73 250
2018 Q3 37.1M $5.6B -$69.5M $150.95 257
2018 Q2 37.7M $4.73B +$44.6M $125.40 240
2018 Q1 37.4M $4.06B +$19.5M $108.30 220
2017 Q4 37.4M $3.3B +$179M $88.40 199
2017 Q3 33.2M $2.79B -$32.5M $84.05 177
2017 Q2 35.5M $2.33B +$29.2M $65.75 175
2017 Q1 32.8M $1.99B +$195M $60.55 164
2016 Q4 32.5M $1.53B +$6.07M $47.00 162
2016 Q3 32.1M $1.85B +$64M $57.62 158
2016 Q2 31.5M $1.37B +$30M $43.42 135
2016 Q1 30.8M $1.35B +$149M $43.62 128
2015 Q4 27.1M $1.53B +$83.8M $56.31 121
2015 Q3 25.6M $1.19B +$79.8M $46.37 110
2015 Q2 23.9M $1.18B +$172M $49.58 94
2015 Q1 20.7M $825M +$165M $39.90 74
2014 Q4 16.4M $551M +$347M $33.61 60