Match Group, Inc. - COM (MTCH)

Historical Portfolio Holders from Q4 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
7.32K
Holdings value Q3 2024
$277K
Value change Q3 2024
+$270K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
3
Number of buys Q3 2024
2
Number of sells Q3 2024
-1
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 7.32K $277K +$270K $37.84 3
2024 Q2 228 $6.93K -$229K $30.38 1
2024 Q1 6.5K $236K $0 $36.28 1
2023 Q4 6.5K $237K $0 $36.50 1
2023 Q3 6.5K $254K $0 $39.18 1
2023 Q2 6.5K $272K $0 $41.85 1
2023 Q1 6.5K $249K $0 $38.39 1
2022 Q4 6.5K $270K $0 $41.56 1
2022 Q3 6.5K $310K $0 $47.72 1
2022 Q2 6.5K $453K $0 $69.74 1
2022 Q1 6.54K $711K -$608K $108.69 2
2021 Q4 11.1K $1.47M -$6.67M $135.56 4
2021 Q3 53.6K $8.42M -$16.3M $157.02 5
2021 Q2 155K $25M -$25.8M $161.25 7
2021 Q1 326K $44.8M -$2.98M $137.38 9
2020 Q4 347K $52.4M +$2.13M $151.23 10
2020 Q3 343K $38M -$10.4B $110.66 13
2020 Q2 97.5M $10.4B +$1.49B $107.05 332
2020 Q1 87.2M $5.76B +$688M $66.04 341
2019 Q4 74.6M $6.13B +$421M $82.11 337
2019 Q3 69.9M $4.99B +$416M $71.44 320
2019 Q2 64.1M $4.32B +$177M $67.27 286
2019 Q1 62.1M $3.51B +$236M $56.61 272
2018 Q4 58.1M $2.49B -$489M $42.77 243
2018 Q3 64.6M $3.74B +$306M $57.91 265
2018 Q2 62.4M $2.42B -$183M $38.74 257
2018 Q1 66.1M $2.94B +$291M $44.44 236
2017 Q4 60.4M $1.89B +$114M $31.31 200
2017 Q3 57.3M $1.33B +$183M $23.19 172
2017 Q2 49.8M $865M +$34.1M $17.38 158
2017 Q1 47.7M $779M +$63.1M $16.33 144
2016 Q4 44.2M $755M +$15.6M $17.10 151
2016 Q3 42.9M $763M +$62.3M $17.79 146
2016 Q2 39.8M $600M -$21.1M $15.07 121
2016 Q1 42.2M $467M +$16.6M $11.06 108
2015 Q4 38.1M $516M +$512M $13.55 106