NEXSTAR MEDIA GROUP, INC. - COMMON STOCK (NXST)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COMMON STOCK
Shares, excl. options Q3 2024
29M
Holdings value Q3 2024
$4.8B
Value change Q3 2024
-$227M
Grand Portfolio weight change Q3 2024
0%
Number of holders
444
Number of buys Q3 2024
194
Number of sells Q3 2024
-226
Average buys Q3 2024 %
+0.001%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 29M $4.8B -$227M $165.35 448
2024 Q2 30.5M $5.06B -$272M $166.01 434
2024 Q1 32.1M $5.52B -$28.3M $172.29 429
2023 Q4 32.2M $5.06B -$3.08M $156.75 426
2023 Q3 32.2M $4.62B -$206M $143.37 414
2023 Q2 33.7M $5.62B -$149M $166.55 436
2023 Q1 34.5M $5.95B -$337M $172.66 430
2022 Q4 36.6M $6.41B +$110M $175.03 450
2022 Q3 36M $6.02B -$225M $166.85 428
2022 Q2 37.3M $6.08B -$124M $162.88 416
2022 Q1 38.3M $7.22B -$161M $188.48 414
2021 Q4 39.3M $5.93B +$58.8M $150.98 382
2021 Q3 38.8M $5.9B -$106M $151.96 365
2021 Q2 39.6M $5.85B -$126M $147.88 368
2021 Q1 41.2M $5.79B -$321M $140.43 344
2020 Q4 43.6M $4.76B -$125M $109.19 316
2020 Q3 44.9M $4.04B -$171M $89.93 292
2020 Q2 46.9M $3.92B -$11.3M $83.69 275
2020 Q1 46.9M $2.71B -$290M $57.73 267
2019 Q4 48.9M $5.74B +$158M $117.25 306
2019 Q3 47.6M $4.87B +$102M $102.31 274
2019 Q2 46.6M $4.71B -$7.16M $101.00 295
2019 Q1 46.9M $5.08B -$316M $108.37 284
2018 Q4 50.5M $3.97B -$14.8M $78.64 261
2018 Q3 50.3M $4.1B -$136M $81.40 265
2018 Q2 52.4M $3.85B +$33.3M $73.40 254
2018 Q1 52M $3.46B -$7.31M $66.50 241
2017 Q4 51.8M $4.05B +$131M $78.20 248
2017 Q3 51M $3.18B -$34.4M $62.30 234
2017 Q2 51.8M $3.1B +$162M $59.80 215
2017 Q1 48.5M $3.4B +$819M $70.15 242
2016 Q4 39.2M $2.48B -$18.2M $63.30 196
2016 Q3 39.7M $2.29B +$117M $57.71 182
2016 Q2 37.9M $1.8B +$50.3M $47.58 181
2016 Q1 37.4M $1.66B +$160M $44.27 176
2015 Q4 33M $1.94B +$39.7M $58.70 151
2015 Q3 31.2M $1.48B -$20.1M $47.35 148
2015 Q2 32.4M $1.81B -$27M $56.00 135
2015 Q1 32.9M $1.88B -$63M $57.22 148
2014 Q4 34.1M $1.77B -$90M $51.79 125
2014 Q3 36.1M $1.46B +$2.87M $40.42 120
2014 Q2 35.7M $1.84B +$51.1M $51.61 146
2014 Q1 35.4M $1.33B +$156M $37.52 130