LITTELFUSE INC /DE - COM (LFUS)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
23.8M
Holdings value Q2 2024
$6.09B
Value change Q2 2024
+$261M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
393
Number of buys Q2 2024
113
Number of sells Q2 2024
-73
Average buys Q2 2024 %
+0%
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 5.02M $1.33B +$10.4M $265.25 189
2024 Q2 23.8M $6.09B +$261M $255.59 394
2024 Q1 22.9M $5.54B -$286M $242.35 413
2023 Q4 23.9M $6.4B +$202M $267.56 383
2023 Q3 23.2M $5.73B -$115M $247.32 366
2023 Q2 23.5M $6.85B -$84.8M $291.31 373
2023 Q1 23.7M $6.36B +$98M $268.09 356
2022 Q4 23.5M $5.18B -$27.2M $220.20 353
2022 Q3 23.7M $4.71B -$335M $198.69 343
2022 Q2 23.8M $6.04B +$101M $254.04 337
2022 Q1 23.5M $5.86B -$5.78M $249.41 349
2021 Q4 23.5M $7.38B +$38M $314.68 345
2021 Q3 23.4M $6.39B +$37.6M $273.27 328
2021 Q2 23.3M $5.93B -$6.16M $254.79 332
2021 Q1 23.3M $6.17B +$31.7M $264.44 337
2020 Q4 23.4M $5.96B +$3.42M $254.66 314
2020 Q3 23.3M $4.13B -$33.7M $177.34 288
2020 Q2 23.5M $4.01B +$33.5M $170.63 294
2020 Q1 23.4M $3.12B -$69.9M $133.42 267
2019 Q4 23.8M $4.54B -$45.9M $191.30 298
2019 Q3 24M $4.25B -$147M $177.31 294
2019 Q2 24.8M $4.39B +$120M $176.91 325
2019 Q1 24.6M $4.48B +$41M $182.48 319
2018 Q4 24.4M $4.18B +$2.04M $171.48 324
2018 Q3 24.3M $4.8B -$56.1M $197.89 334
2018 Q2 24.6M $5.6B -$13.9M $228.18 327
2018 Q1 24.6M $5.12B +$235M $208.18 303
2017 Q4 23.5M $4.64B +$87.4M $197.82 297
2017 Q3 22.7M $4.45B +$187M $195.88 282
2017 Q2 21.9M $3.61B +$64.3M $165.00 259
2017 Q1 21.8M $3.48B +$310M $159.91 259
2016 Q4 22M $3.34B -$43M $151.77 251
2016 Q3 22.3M $2.87B +$85.1M $128.81 217
2016 Q2 22.2M $2.62B +$41.9M $118.19 228
2016 Q1 22.1M $2.72B +$24M $123.11 245
2015 Q4 22M $2.35B -$35.4M $107.01 213
2015 Q3 22.3M $2.03B +$31.4M $91.15 203
2015 Q2 21.8M $2.07B -$27.5M $94.89 206
2015 Q1 22.1M $2.19B +$37.9M $99.39 203
2014 Q4 21.7M $2.1B +$34.6M $96.67 216
2014 Q3 21.9M $1.86B -$14.4M $85.18 195
2014 Q2 22M $2.05B -$16.7M $92.95 195
2014 Q1 22.1M $2.07B -$22.2M $93.64 191