Knight-Swift Transportation Holdings Inc. - CL A (KNX)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A
Shares, excl. options Q2 2024
151M
Holdings value Q2 2024
$7.55B
Value change Q2 2024
+$547M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
425
Number of buys Q2 2024
151
Number of sells Q2 2024
-139
Average buys Q2 2024 %
+0.003%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 91.9M $4.95B -$2.87M $53.95 317
2024 Q2 151M $7.55B +$547M $49.92 427
2024 Q1 140M $7.69B -$214M $55.02 471
2023 Q4 143M $8.24B +$258M $57.65 472
2023 Q3 138M $6.94B -$354M $50.15 466
2023 Q2 145M $8.05B +$29.5M $55.56 478
2023 Q1 144M $8.13B -$169M $56.58 481
2022 Q4 148M $7.75B +$77.4M $52.41 477
2022 Q3 146M $7.17B +$67.3M $48.93 450
2022 Q2 144M $6.69B +$19.9M $46.29 465
2022 Q1 145M $7.32B +$60.1M $50.46 464
2021 Q4 143M $8.73B -$249M $60.94 481
2021 Q3 147M $7.51B +$68.7M $51.15 416
2021 Q2 146M $6.62B +$138M $45.46 400
2021 Q1 144M $6.95B -$99.4M $48.09 414
2020 Q4 148M $6.17B -$47.7M $41.82 403
2020 Q3 149M $6.04B +$141M $40.70 421
2020 Q2 145M $6.04B -$86M $41.71 379
2020 Q1 147M $4.82B -$2.56M $32.80 326
2019 Q4 147M $5.26B +$4.28M $35.84 337
2019 Q3 146M $5.3B +$98.1M $36.30 329
2019 Q2 143M $4.7B +$3.62M $32.84 320
2019 Q1 144M $4.71B +$44.4M $32.68 334
2018 Q4 143M $3.59B -$55.1M $25.07 308
2018 Q3 144M $4.98B +$11.9M $34.48 344
2018 Q2 142M $5.44B -$103M $38.21 360
2018 Q1 145M $6.65B +$38.8M $46.01 364
2017 Q4 143M $6.24B +$97.4M $43.72 314
2017 Q3 141M $5.86B +$5.85B $41.55 276
2017 Q2 992 $36.7K -$2.36K $36.96 2
2017 Q1 1.06K $32.5K -$4.37K $30.74 2
2016 Q4 1.2K $39.4K -$1.37K $32.85 2
2016 Q3 12.9K $518K +$3.19K $28.69 3
2016 Q2 1.13K $29.8K +$10.2K $26.45 2
2016 Q1 743 $18.5K +$958 $25.36 2
2015 Q4 531 $12K $0 $22.60 1
2015 Q3 0 $0 -$1M 0
2015 Q2 37.5K $1M +$1M $26.72 1