J Sainsbury PLC - COM (JSAIY)

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
365K
Holdings value Q3 2024
$5.86M
Value change Q3 2024
+$2.7M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
6
Number of buys Q3 2024
4
Number of sells Q3 2024
-1
Average buys Q3 2024 %
+0%
Average sells Q3 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 365K $5.86M +$2.7M $16.04 6
2024 Q2 197K $2.58M +$1.04M $13.06 6
2024 Q1 118K $1.62M -$1.74M $13.77 5
2023 Q4 7.95K $121K -$1.52M $15.35 4
2023 Q3 14.9K $183K -$1.55M $12.30 4
2023 Q2 11.4K $155K -$1.77M $13.65 4
2023 Q1 18.5K $255K -$998K $13.76 2
2022 Q4 0 $0 -$893K 0
2022 Q3 0 $0 -$1.15M 0
2022 Q2 2.53K $26K -$1.36M $10.28 1
2022 Q1 1.78K $24K -$2.19M $19.12 2
2021 Q4 55.5K $821K -$1.31M $14.87 4
2021 Q3 51.1K $785K -$970K $14.53 2
2021 Q2 38.1K $573K -$35.7M $16.07 2
2021 Q1 2.62M $35.3M +$652K $13.38 3
2020 Q4 2.57M $31.7M +$10.1M $12.34 1
2020 Q3 1.76M $17.3M +$778K $9.84 3
2020 Q2 1.68M $17.4M -$9.59M $10.04 2
2020 Q1 2.6M $27M +$5.28M $11.10 2
2019 Q4 2.09M $25.4M +$967K $12.06 4
2019 Q3 2.01M $21.7M +$6.06M $10.76 3
2019 Q2 1.45M $14.4M +$237K $9.92 4
2019 Q1 1.43M $17.5M -$4.12M $12.28 5
2018 Q4 1.76M $23.8M -$2.79M $13.13 6
2018 Q3 1.95M $32.8M +$1.55M $16.57 8
2018 Q2 1.86M $31.5M +$343K $16.93 7
2018 Q1 1.84M $24.5M +$463K $13.24 6
2017 Q4 1.81M $23.6M +$8.56M $13.04 5
2017 Q3 1.15M $14.9M +$4.98M $12.76 5
2017 Q2 766K $10.2M +$1.67M $13.06 5
2017 Q1 640K $8.66M +$2.06M $13.53 5
2016 Q4 488K $5.96M -$550K $12.20 5
2016 Q3 522K $6.69M +$3.9M $12.77 5
2016 Q2 217K $2.69M -$185K $12.26 6
2016 Q1 232K $3.67M -$15.7K $15.84 5
2015 Q4 232K $3.52M +$2.06M $15.18 4
2015 Q3 96.3K $1.52M -$2.74M $15.51 4
2015 Q2 260K $4.37M +$182K $16.77 4
2015 Q1 250K $3.86M +$538K $15.47 5
2014 Q4 215K $3.25M +$1.12M $15.21 6
2014 Q3 140K $2.3M -$5.95M $16.42 6
2014 Q2 424K $9.21M +$2.32M $21.92 7
2014 Q1 321K $6.81M +$2.85M $21.14 6