LCI INDUSTRIES - COM (LCII)

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
26.2M
Holdings value Q3 2024
$3.16B
Value change Q3 2024
-$75.7M
Grand Portfolio weight change Q3 2024
0%
Number of holders
297
Number of buys Q3 2024
151
Number of sells Q3 2024
-129
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 26.2M $3.16B -$75.7M $120.54 298
2024 Q2 26.8M $2.78B +$28.6M $103.38 292
2024 Q1 26.5M $3.27B -$73.6M $123.06 284
2023 Q4 27.1M $3.4B +$60.9M $125.71 275
2023 Q3 26.7M $3.14B -$4.21M $117.42 262
2023 Q2 26.6M $3.36B +$24.6M $126.36 267
2023 Q1 26.4M $2.9B +$130M $109.87 257
2022 Q4 25.4M $2.35B -$11.8M $92.45 266
2022 Q3 25.4M $2.58B +$2.34M $101.46 278
2022 Q2 24.9M $2.79B +$19.9M $111.88 275
2022 Q1 25M $2.6B -$57.1M $103.81 274
2021 Q4 25.3M $3.94B +$70.1M $155.87 278
2021 Q3 24.9M $3.35B -$12.5M $134.63 263
2021 Q2 25M $3.28B +$159M $131.42 252
2021 Q1 23.8M $3.14B -$23.4M $132.28 258
2020 Q4 24M $3.11B +$58.6M $129.68 246
2020 Q3 23.6M $2.5B -$43.1M $106.29 247
2020 Q2 23.9M $2.75B -$1.66M $114.98 228
2020 Q1 23.8M $1.59B -$28.9M $66.83 206
2019 Q4 24.3M $2.6B -$17.6M $107.13 236
2019 Q3 24.5M $2.25B -$82.8M $91.85 231
2019 Q2 25.4M $2.29B -$24.6M $90.00 219
2019 Q1 25.8M $1.99B +$10.7M $76.82 208
2018 Q4 25.7M $1.72B +$52.8M $66.80 197
2018 Q3 24.8M $2.05B +$11.8M $82.80 220
2018 Q2 24.6M $2.22B +$6.16M $90.15 230
2018 Q1 24.1M $2.51B +$57.4M $104.15 248
2017 Q4 24.3M $3.16B -$42.4M $130.00 261
2017 Q3 24.4M $2.82B -$56.2M $115.85 241
2017 Q2 24.9M $2.55B +$76.1M $102.40 232
2017 Q1 24.4M $2.43B +$2.3B $99.80 239
2016 Q4 1.15M $125M +$125M $107.76 20
2016 Q3 6.85K $794K $0 $115.91 1