NCR Voyix Corp - COM (VYX)

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
153M
Holdings value Q2 2024
$1.9B
Value change Q2 2024
+$137M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
337
Number of buys Q2 2024
52
Number of sells Q2 2024
-41
Average buys Q2 2024 %
+0%
Average sells Q2 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 13M $176M -$8.01M $13.57 108
2024 Q2 153M $1.9B +$137M $12.35 341
2024 Q1 142M $1.8B -$2.28M $12.63 331
2023 Q4 141M $2.38B +$129M $16.91 355
2023 Q3 125M $3.38B -$13.5M $26.97 366
2023 Q2 127M $3.2B +$36.6M $25.20 359
2023 Q1 126M $2.98B -$30.3M $23.59 353
2022 Q4 128M $3.01B +$69.3M $23.41 352
2022 Q3 128M $2.44B -$152M $19.01 336
2022 Q2 132M $4.1B +$166M $31.11 375
2022 Q1 125M $5.02B +$104M $40.19 370
2021 Q4 122M $4.91B -$222M $40.20 362
2021 Q3 121M $4.7B +$37M $38.76 349
2021 Q2 120M $5.45B -$5.78M $45.61 372
2021 Q1 121M $4.6B +$100M $37.95 330
2020 Q4 119M $4.46B +$83.4M $37.57 314
2020 Q3 118M $2.62B +$79.8M $22.14 279
2020 Q2 114M $1.97B -$25.7M $17.32 284
2020 Q1 115M $2.04B -$92.8M $17.70 299
2019 Q4 118M $4.14B +$128M $35.16 343
2019 Q3 118M $3.71B +$144M $31.56 340
2019 Q2 114M $3.53B -$1.38M $31.10 326
2019 Q1 115M $3.14B +$3.26M $27.29 333
2018 Q4 115M $2.66B +$13.2M $23.08 302
2018 Q3 113M $3.2B +$117M $28.41 313
2018 Q2 108M $3.24B -$12.1M $29.98 325
2018 Q1 108M $3.41B -$73.8M $31.52 359
2017 Q4 110M $3.74B -$53.3M $33.99 369
2017 Q3 110M $4.14B +$113M $37.52 354
2017 Q2 108M $4.43B -$7.92M $40.84 376
2017 Q1 108M $4.94B +$798M $45.68 373
2016 Q4 101M $4.1B -$58.6M $40.56 367
2016 Q3 102M $3.29B -$55.4M $32.19 327
2016 Q2 104M $2.89B -$34.1M $27.77 301
2016 Q1 105M $3.15B -$233M $29.93 279
2015 Q4 116M $2.83B -$695M $24.46 303
2015 Q3 140M $3.2B -$73.1M $22.75 320
2015 Q2 141M $4.25B -$239M $30.10 341
2015 Q1 148M $4.36B +$242M $29.51 321
2014 Q4 140M $4.07B -$586M $29.14 337
2014 Q3 156M $5.2B +$26.4M $33.41 348
2014 Q2 155M $5.43B -$54.4M $35.09 369
2014 Q1 155M $5.67B +$159M $36.55 372