NEW YORK TIMES CO - CL A (NYT)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A
Shares, excl. options Q2 2024
147M
Holdings value Q2 2024
$7.54B
Value change Q2 2024
+$62.6M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
432
Number of buys Q2 2024
92
Number of sells Q2 2024
-94
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 12M $665M +$5.27M $55.67 191
2024 Q2 147M $7.54B +$62.6M $51.21 435
2024 Q1 146M $6.31B -$99.8M $43.22 407
2023 Q4 147M $7.2B +$52.6M $48.99 404
2023 Q3 146M $6.04B -$127M $41.20 369
2023 Q2 151M $5.94B +$59.9M $39.38 335
2023 Q1 149M $5.8B -$61M $38.88 353
2022 Q4 151M $4.91B -$29M $32.46 326
2022 Q3 153M $4.38B +$33.8M $28.75 297
2022 Q2 151M $4.22B -$51.5M $27.90 317
2022 Q1 151M $6.92B -$57.8M $45.84 345
2021 Q4 152M $7.34B -$186M $48.30 363
2021 Q3 156M $7.67B -$60.9M $49.27 351
2021 Q2 157M $6.85B +$60.8M $43.55 351
2021 Q1 155M $7.87B -$270M $50.62 355
2020 Q4 161M $8.32B +$157M $51.77 356
2020 Q3 156M $6.69B +$39.1M $42.79 338
2020 Q2 156M $6.54B -$119M $42.03 318
2020 Q1 160M $4.91B -$57.3M $30.71 271
2019 Q4 162M $5.21B +$228M $32.17 278
2019 Q3 155M $4.41B +$42.6M $28.48 277
2019 Q2 153M $4.98B -$96.9M $32.62 288
2019 Q1 156M $5.14B +$203M $32.85 277
2018 Q4 151M $3.36B -$33M $22.29 241
2018 Q3 152M $3.51B +$3.7M $23.15 236
2018 Q2 151M $3.91B +$506M $25.90 245
2018 Q1 136M $3.27B +$433M $24.10 238
2017 Q4 119M $2.2B +$122M $18.50 222
2017 Q3 112M $2.19B +$123M $19.60 199
2017 Q2 102M $1.8B +$40.8M $17.70 191
2017 Q1 103M $1.49B +$170M $14.40 180
2016 Q4 104M $1.38B +$13.9M $13.30 179
2016 Q3 103M $1.23B +$11M $11.95 191
2016 Q2 102M $1.24B -$17.8M $12.10 184
2016 Q1 103M $1.29B -$8.79M $12.46 186
2015 Q4 104M $1.4B -$62.6M $13.42 194
2015 Q3 109M $1.28B -$57.4M $11.81 173
2015 Q2 113M $1.55B -$14.3M $13.65 164
2015 Q1 115M $1.58B +$7.91M $13.76 169
2014 Q4 109M $1.44B -$12.4M $13.22 169
2014 Q3 117M $1.31B +$5.32M $11.22 160
2014 Q2 115M $1.75B -$3.7M $15.21 176
2014 Q1 116M $1.98B +$26.7M $17.12 170