Kinsale Capital Group, Inc. - COM (KNSL)

Historical Portfolio Holders from Q3 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
19.5M
Holdings value Q3 2024
$9.07B
Value change Q3 2024
-$227M
Grand Portfolio weight change Q3 2024
0%
Number of holders
518
Number of buys Q3 2024
239
Number of sells Q3 2024
-230
Average buys Q3 2024 %
+0.001%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 19.5M $9.07B -$227M $465.57 521
2024 Q2 20M $7.71B +$133M $385.28 502
2024 Q1 19.6M $10.3B +$122M $524.74 516
2023 Q4 19.6M $6.56B +$43.5M $334.91 468
2023 Q3 19.2M $7.95B -$153M $414.13 439
2023 Q2 19.6M $7.33B -$218M $374.20 422
2023 Q1 20.2M $6.07B +$94.9M $300.15 380
2022 Q4 19.7M $5.15B +$115M $261.52 373
2022 Q3 19.8M $5.06B +$172M $255.42 330
2022 Q2 19.4M $4.44B +$73.5M $229.64 301
2022 Q1 19.1M $4.36B +$49.5M $228.02 301
2021 Q4 18.9M $4.5B +$5.16M $237.89 297
2021 Q3 18.7M $3.03B +$25.5M $161.70 271
2021 Q2 18.6M $3.06B +$77.3M $164.77 251
2021 Q1 18.1M $2.98B -$140M $164.80 261
2020 Q4 18.8M $3.76B -$46.1M $200.13 290
2020 Q3 19.1M $3.62B -$4.38M $190.18 266
2020 Q2 19.1M $2.96B -$55.7M $155.21 249
2020 Q1 19.6M $2.05B -$88.8M $104.53 192
2019 Q4 19.7M $2B +$130M $101.66 194
2019 Q3 18.4M $1.9B +$113M $103.31 176
2019 Q2 17.5M $1.6B +$29.1M $91.48 164
2019 Q1 17.7M $1.21B -$405K $68.57 148
2018 Q4 17.7M $983M +$89.4K $55.56 144
2018 Q3 17.7M $1.13B +$17.2M $63.86 137
2018 Q2 17.5M $961M +$7.53M $54.86 131
2018 Q1 17.4M $894M -$5.28M $51.33 124
2017 Q4 17.5M $788M +$5.11M $45.00 120
2017 Q3 17.4M $752M +$23.8M $43.17 102
2017 Q2 16.8M $627M +$195M $37.31 97
2017 Q1 11.7M $374M +$37.7M $32.04 89
2016 Q4 10.9M $370M +$132M $34.01 83
2016 Q3 7.18M $157M +$157M $22.00 62