NU SKIN ENTERPRISES, INC. - CL A (NUS)

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
42M
Holdings value Q2 2024
$443M
Value change Q2 2024
+$29.6M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
201
Number of buys Q2 2024
26
Number of sells Q2 2024
-42
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 2.33M $17.1M -$3M $7.37 50
2024 Q2 42M $443M +$29.6M $10.54 201
2024 Q1 38.9M $539M -$34.3M $13.83 191
2023 Q4 40.9M $794M +$6.8M $19.42 209
2023 Q3 40.5M $858M -$81.4M $21.21 207
2023 Q2 43M $1.43B -$61.9M $33.20 214
2023 Q1 44.9M $1.76B +$6.93M $39.31 201
2022 Q4 44.8M $1.89B +$48.3M $42.16 212
2022 Q3 44M $1.47B -$11.7M $33.37 193
2022 Q2 44.1M $1.91B +$68M $43.30 211
2022 Q1 43M $2.06B +$36.5M $47.88 227
2021 Q4 42.1M $2.14B +$108M $50.75 250
2021 Q3 40.1M $1.62B -$68.3M $40.47 242
2021 Q2 41.4M $2.35B +$95.3M $56.65 269
2021 Q1 39.8M $2.11B +$77.1M $52.89 270
2020 Q4 38.5M $2.1B -$16.4M $54.63 257
2020 Q3 38.8M $1.94B +$2.61M $50.09 245
2020 Q2 38.8M $1.48B +$19.5M $38.23 220
2020 Q1 38.8M $846M -$114M $21.85 190
2019 Q4 41.2M $1.69B -$10.9M $40.98 213
2019 Q3 41.1M $1.75B -$50.3M $42.53 228
2019 Q2 41.9M $2.06B -$70.7M $49.32 254
2019 Q1 43.9M $2.1B +$83.5M $47.86 274
2018 Q4 42M $2.57B -$37.6M $61.33 270
2018 Q3 42.3M $3.48B -$49.1M $82.42 302
2018 Q2 43.1M $3.36B -$11.4M $78.19 297
2018 Q1 43.1M $3.17B +$235M $73.71 290
2017 Q4 40.3M $2.75B -$94.9M $68.23 270
2017 Q3 41.7M $2.56B -$71.7M $61.48 249
2017 Q2 42.9M $2.69B -$68.5M $62.84 263
2017 Q1 44.1M $2.45B +$567M $55.54 253
2016 Q4 39.9M $1.91B -$141M $47.78 246
2016 Q3 42.1M $2.72B -$104M $64.78 239
2016 Q2 43.6M $2.01B -$77.3M $46.19 203
2016 Q1 45.4M $1.74B -$62.9M $38.25 191
2015 Q4 47.8M $1.81B +$84.4M $37.89 203
2015 Q3 45.1M $1.86B -$44.8M $41.28 209
2015 Q2 44.6M $2.1B -$37.6M $47.13 202
2015 Q1 44.6M $2.68B -$25.1M $60.21 198
2014 Q4 45.7M $2B +$32.7M $43.70 204
2014 Q3 44.8M $2.03B +$42M $45.03 220
2014 Q2 39.3M $2.91B -$96.2M $73.96 258
2014 Q1 41.1M $3.4B -$604M $82.85 283