NVIDIA CORP - COM (NVDA)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
15.3B
Holdings value Q3 2024
$1.86T
Value change Q3 2024
-$60.5B
Grand Portfolio weight change Q3 2024
-0.115%
Number of holders
4493
Number of buys Q3 2024
2382
Number of sells Q3 2024
-1888
Average buys Q3 2024 %
+0.135%
Average sells Q3 2024 %
-0.218%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 15.3B $1.86T -$60.5B $121.44 4,521
2024 Q2 15.8B $1.95T +$1.73T $123.54 4,434
2024 Q1 1.56B $1.41T -$44.2B $903.56 4,194
2023 Q4 1.63B $807B +$17.4B $495.22 3,859
2023 Q3 1.59B $693B -$15.9B $434.99 3,614
2023 Q2 1.62B $684B +$7.07B $423.02 3,490
2023 Q1 1.61B $447B +$6.86B $277.77 3,159
2022 Q4 1.59B $233B +$4.56B $146.14 2,805
2022 Q3 1.57B $190B -$2.05B $121.39 2,616
2022 Q2 1.58B $239B -$1.11B $151.59 2,756
2022 Q1 1.59B $433B -$5.07B $272.86 3,004
2021 Q4 1.61B $472B -$3.53B $294.11 3,014
2021 Q3 1.62B $335B +$241B $207.16 2,521
2021 Q2 396M $316B +$1.99B $800.10 2,378
2021 Q1 408M $218B -$2.35B $533.93 2,299
2020 Q4 414M $216B +$347M $522.20 2,274
2020 Q3 414M $224B -$5.76B $541.22 2,027
2020 Q2 425M $162B -$397M $379.91 1,894
2020 Q1 427M $112B +$5.2B $263.60 1,717
2019 Q4 407M $95.7B +$855M $235.30 1,605
2019 Q3 403M $70.1B +$941M $174.07 1,384
2019 Q2 398M $65.3B -$2.58B $164.23 1,341
2019 Q1 417M $74.8B +$263M $179.56 1,346
2018 Q4 425M $56.8B -$444M $133.50 1,278
2018 Q3 418M $117B +$4.14B $281.02 1,344
2018 Q2 405M $95.9B +$1.08B $236.90 1,311
2018 Q1 400M $92.6B -$1.14B $231.59 1,236
2017 Q4 406M $78.5B -$2.28B $193.50 1,132
2017 Q3 389M $69.6B -$5.64B $178.77 1,001
2017 Q2 427M $61.7B -$968M $144.56 907
2017 Q1 440M $47.9B +$1.06B $108.93 847
2016 Q4 462M $49.3B +$747M $106.74 797
2016 Q3 456M $31.2B -$520M $68.52 714
2016 Q2 465M $21.9B -$699M $47.01 683
2016 Q1 475M $16.9B +$760M $35.63 611
2015 Q4 460M $15.2B +$478M $32.96 568
2015 Q3 447M $11B -$314M $24.65 499
2015 Q2 461M $9.27B -$21.7M $20.11 475
2015 Q1 458M $9.58B +$494M $20.93 489
2014 Q4 435M $8.72B -$54.4M $20.05 487
2014 Q3 436M $8.05B -$90.6M $18.45 451
2014 Q2 441M $8.17B -$173M $18.54 436
2014 Q1 450M $8.07B +$161M $17.91 429