IHS INC - CL A (IHS) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2022

Type / Class
Equity / CL A
Symbol
IHS on NYSE
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of IHS INC - CL A (IHS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q4 11,000 $1,290,000 +$117,273 $117.27 1
2022 Q3 10,000 $1,173,000 +$821,100 $117.30 1
2022 Q2 3,000 $352,000 +$352,000 $117.33 1
2021 Q4 0 $0 -$47,000 0
2021 Q3 400 $47,000 $117.50 1
2021 Q2 400 $45,000 -$12,547,238 $112.50 1
2021 Q1 111,931 $10,833,000 -$16,649,262 $96.78 1
2020 Q4 283,958 $25,508,000 -$26,949 $89.83 1
2020 Q3 284,258 $22,317,000 -$14,917 $78.51 1
2020 Q2 284,448 $21,476,000 -$41,903 $75.50 1
2020 Q1 285,003 $17,100,000 -$1,248,587 $60.00 1
2019 Q4 305,813 $23,043,000 -$486,637 $75.35 1
2019 Q3 309,788 $20,939,000 $94.86 2
2019 Q2 309,788 $19,973,000 +$464,565 $93.28 2
2019 Q1 306,153 $16,648,000 +$22,567 $54.38 1
2018 Q4 305,738 $14,666,000 $47.97 1
2018 Q3 305,738 $16,497,000 +$19,695 $53.96 1
2018 Q2 305,373 $15,754,000 $51.59 1
2018 Q1 305,373 $14,731,000 $48.24 1
2017 Q4 305,373 $13,787,000 -$45,148 $45.15 1
2017 Q3 306,373 $13,504,000 +$5,069 $44.08 1
2017 Q2 306,258 $13,487,000 +$5,285 $44.04 1
2017 Q1 306,138 $12,842,000 -$3,354,698 $41.95 1
2016 Q4 386,110 $13,672,000 -$251,619 $35.41 1
2016 Q3 395,570 $14,726,000 -$7,531,392,723 $34.44 2
2016 Q2 65,411,310 $7,562,386,392 -$139,926,591 $115.61 268
2016 Q1 66,433,578 $8,242,779,293 +$102,231,061 $124.16 276
2015 Q4 65,724,727 $7,783,944,229 -$94,625,553 $118.43 274
2015 Q3 66,477,997 $7,711,395,952 +$2,074,240 $116.00 278
2015 Q2 66,523,168 $8,556,611,226 +$127,455,705 $128.63 260
2015 Q1 65,496,609 $7,451,910,038 -$53,037,092 $113.76 276
2014 Q4 66,362,355 $7,557,947,567 +$144,212,242 $113.88 292
2014 Q3 65,394,210 $8,187,140,144 -$135,018,734 $125.19 276
2014 Q2 66,427,875 $9,011,049,858 +$120,175,170 $135.67 280
2014 Q1 65,619,657 $7,972,626,979 +$527,994,409 $121.50 259