JETBLUE AIRWAYS CORP - COM (JBLU)

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
281M
Holdings value Q3 2024
$1.84B
Value change Q3 2024
+$101M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
337
Number of buys Q3 2024
140
Number of sells Q3 2024
-162
Average buys Q3 2024 %
+0.001%
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 281M $1.84B +$101M $6.56 346
2024 Q2 273M $1.66B -$26.7M $6.09 336
2024 Q1 275M $2.04B +$198M $7.42 332
2023 Q4 250M $1.39B +$80.4M $5.55 339
2023 Q3 239M $1.1B -$114M $4.60 322
2023 Q2 250M $2.21B +$124M $8.86 332
2023 Q1 236M $1.72B +$92.1M $7.28 330
2022 Q4 223M $1.45B +$47.6M $6.48 348
2022 Q3 216M $1.43B -$187M $6.63 326
2022 Q2 242M $2.03B -$84.6M $8.37 359
2022 Q1 247M $3.69B +$25.3M $14.95 375
2021 Q4 246M $3.5B +$27.2M $14.24 377
2021 Q3 242M $3.7B +$48.1M $15.29 366
2021 Q2 239M $4.02B -$235M $16.78 370
2021 Q1 252M $5.12B +$81.4M $20.34 359
2020 Q4 251M $3.64B +$584M $14.54 329
2020 Q3 211M $2.39B +$11.4M $11.33 294
2020 Q2 209M $2.28B -$306M $10.90 327
2020 Q1 240M $2.14B -$493M $8.95 335
2019 Q4 272M $5.09B -$93.8M $18.72 355
2019 Q3 277M $4.64B +$102M $16.75 333
2019 Q2 270M $5B -$27.7M $18.49 355
2019 Q1 274M $4.49B +$25.3M $16.36 345
2018 Q4 273M $4.38B -$32.8M $16.06 353
2018 Q3 273M $5.29B -$35.1M $19.36 360
2018 Q2 275M $5.23B -$279M $18.98 362
2018 Q1 289M $5.87B -$74.3M $20.32 381
2017 Q4 293M $6.54B -$7.31M $22.34 375
2017 Q3 290M $5.38B +$161M $18.53 374
2017 Q2 280M $6.39B -$32.9M $22.83 385
2017 Q1 282M $5.82B +$666M $20.61 376
2016 Q4 274M $6.12B +$230M $22.42 387
2016 Q3 264M $4.56B +$121M $17.24 357
2016 Q2 258M $4.27B -$155M $16.56 369
2016 Q1 265M $5.6B -$136M $21.12 389
2015 Q4 273M $6.17B -$200M $22.65 422
2015 Q3 279M $7.2B -$204M $25.77 409
2015 Q2 287M $5.96B -$840M $20.76 393
2015 Q1 329M $6.34B +$594M $19.25 371
2014 Q4 299M $4.75B +$191M $15.86 355
2014 Q3 290M $3.08B -$150M $10.62 313
2014 Q2 302M $3.28B +$188M $10.85 276
2014 Q1 284M $2.47B +$3.63M $8.69 290