L3HARRIS TECHNOLOGIES, INC. /DE/ - COM (LHX)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
160M
Holdings value Q3 2024
$38.2B
Value change Q3 2024
-$73M
Grand Portfolio weight change Q3 2024
0%
Number of holders
1318
Number of buys Q3 2024
593
Number of sells Q3 2024
-543
Average buys Q3 2024 %
+0.003%
Average sells Q3 2024 %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 160M $38.2B -$73M $237.87 1,321
2024 Q2 161M $36.2B +$706M $224.58 1,308
2024 Q1 159M $33.8B -$622M $213.10 1,260
2023 Q4 161M $33.9B +$1.76B $210.62 1,234
2023 Q3 153M $26.7B -$448M $174.12 1,145
2023 Q2 155M $30.4B +$39.9M $195.77 1,164
2023 Q1 155M $30.5B -$167M $196.24 1,190
2022 Q4 156M $32.4B -$482M $208.21 1,232
2022 Q3 158M $32.8B -$263M $207.83 1,161
2022 Q2 159M $38.4B +$345M $241.70 1,188
2022 Q1 158M $39.4B +$952M $248.47 1,214
2021 Q4 155M $33B -$1.63B $213.24 1,190
2021 Q3 162M $35.7B -$326M $220.24 1,122
2021 Q2 163M $35.3B -$421M $216.15 1,142
2021 Q1 166M $33.6B -$349M $202.68 1,126
2020 Q4 168M $31.7B -$498M $189.02 1,115
2020 Q3 171M $29B -$1.6B $169.84 1,023
2020 Q2 180M $30.5B -$876M $169.67 1,084
2020 Q1 185M $33.3B +$140M $180.12 1,056
2019 Q4 184M $36.4B -$99.6M $197.87 1,068
2019 Q3 184M $38.4B +$37.2B $208.64 984
2019 Q2 6.18M $1.17B +$1.16B $189.13 61
2019 Q1 57.5K $9.42M -$2.34M $159.72 6
2018 Q4 66.6K $8.97M +$8.63M $134.65 4
2018 Q3 2.52K $426K -$11K $169.21 3
2018 Q2 2.58K $373K $0 $144.54 3
2018 Q1 2.58K $416K +$2.1K $161.28 3
2017 Q4 2.57K $364K -$21.2K $141.65 3
2017 Q3 2.72K $358K +$8.56K $131.68 3
2017 Q2 2.65K $289K $0 $109.08 3
2017 Q1 2.65K $295K -$2.78K $111.27 3
2016 Q4 2.68K $275K $0 $102.47 3
2016 Q3 2.65K $243K +$15.1K $91.61 2
2016 Q2 2.49K $207K +$5.42K $83.44 2
2016 Q1 2.42K $188K $0 $77.86 2