Infinera Corp - COM (INFN)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
201M
Holdings value Q3 2024
$1.36B
Value change Q3 2024
-$200M
Grand Portfolio weight change Q3 2024
0%
Number of holders
160
Number of buys Q3 2024
82
Number of sells Q3 2024
-128
Average buys Q3 2024 %
+0.003%
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 201M $1.36B -$200M $6.75 173
2024 Q2 237M $1.44B +$3.04M $6.09 217
2024 Q1 237M $1.43B +$74.8M $6.03 205
2023 Q4 225M $1.07B +$5.02M $4.75 197
2023 Q3 225M $940M -$8.09M $4.18 195
2023 Q2 226M $1.09B -$40.2M $4.83 199
2023 Q1 230M $1.78B +$63.6M $7.76 216
2022 Q4 222M $1.5B +$54.5M $6.74 203
2022 Q3 215M $1.04B +$68.1M $4.84 184
2022 Q2 200M $1.07B -$4.15M $5.36 178
2022 Q1 200M $1.73B +$11.7M $8.67 198
2021 Q4 198M $1.89B +$35.3M $9.59 199
2021 Q3 194M $1.61B -$1.96M $8.32 194
2021 Q2 193M $1.97B +$72.6M $10.20 201
2021 Q1 186M $1.79B +$26.2M $9.63 204
2020 Q4 183M $1.91B +$126M $10.48 207
2020 Q3 172M $1.06B +$52.7M $6.16 170
2020 Q2 164M $968M +$27.2M $5.92 149
2020 Q1 162M $860M -$193K $5.30 133
2019 Q4 160M $1.27B +$58M $7.94 142
2019 Q3 153M $834M +$59.6M $5.45 139
2019 Q2 143M $417M -$22.5M $2.91 130
2019 Q1 149M $647M -$5.62M $4.34 154
2018 Q4 151M $602M +$55.9M $3.99 148
2018 Q3 132M $966M -$340K $7.30 171
2018 Q2 128M $1.27B +$4.18M $9.93 139
2018 Q1 127M $1.38B -$11.9M $10.86 159
2017 Q4 131M $827M -$69.9M $6.33 152
2017 Q3 135M $1.2B +$54.6M $8.87 153
2017 Q2 128M $1.36B +$118M $10.67 165
2017 Q1 119M $1.22B +$220M $10.23 163
2016 Q4 107M $908M +$63.3M $8.49 164
2016 Q3 98.6M $890M -$61.7M $9.03 169
2016 Q2 102M $1.15B -$89.8M $11.28 195
2016 Q1 107M $1.72B -$78.3M $16.06 217
2015 Q4 109M $1.98B -$18.7M $18.12 225
2015 Q3 112M $2.19B +$238M $19.56 219
2015 Q2 97.8M $2.05B +$30.6M $20.98 207
2015 Q1 99.1M $1.95B +$148M $19.67 192
2014 Q4 92M $1.35B +$171M $14.72 168
2014 Q3 81.7M $871M +$70.6M $10.67 152
2014 Q2 75.3M $693M -$4.14M $9.20 142
2014 Q1 75.5M $685M -$62.2M $9.08 149