PJT Partners Inc. - COM CL A (PJT)

Historical Portfolio Holders from Q3 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM CL A
Shares, excl. options Q3 2024
20.3M
Holdings value Q3 2024
$2.72B
Value change Q3 2024
-$90.4M
Grand Portfolio weight change Q3 2024
0%
Number of holders
322
Number of buys Q3 2024
146
Number of sells Q3 2024
-120
Average buys Q3 2024 %
+0.001%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 20.3M $2.72B -$90.4M $133.34 323
2024 Q2 20.7M $2.23B +$15.4M $107.91 301
2024 Q1 20.6M $1.94B -$70.1M $94.26 282
2023 Q4 21.3M $2.17B +$193M $101.87 276
2023 Q3 19.5M $1.55B +$139M $79.44 242
2023 Q2 17.7M $1.23B +$31.9M $69.64 220
2023 Q1 17.2M $1.25B +$6.73M $72.19 241
2022 Q4 17.2M $1.27B +$9.69M $73.69 227
2022 Q3 17.2M $1.15B +$8.32M $66.82 198
2022 Q2 17M $1.2B +$47.9M $70.28 199
2022 Q1 16.4M $1.04B -$12.1M $63.12 193
2021 Q4 16.5M $1.22B -$17.5M $74.09 214
2021 Q3 16.7M $1.32B +$63.4M $79.11 212
2021 Q2 16.4M $1.17B -$4.23M $71.38 207
2021 Q1 16.5M $1.11B +$56.9M $67.65 219
2020 Q4 16.1M $1.21B +$14.1M $75.25 224
2020 Q3 16.2M $979M -$6.54M $60.61 189
2020 Q2 16.4M $842M +$51.2M $51.34 180
2020 Q1 15.5M $672M +$14.2M $43.39 171
2019 Q4 15.2M $685M +$8.87M $45.13 159
2019 Q3 15M $612M +$13.1M $40.70 152
2019 Q2 14.7M $598M -$4.37M $40.52 155
2019 Q1 14.9M $624M +$17.3M $41.80 171
2018 Q4 14.5M $563M +$36.9M $38.76 173
2018 Q3 13.5M $707M +$32.8M $52.35 172
2018 Q2 12.8M $686M +$94.5M $53.39 178
2018 Q1 11.4M $569M +$10.6M $50.10 191
2017 Q4 11.2M $511M +$15.4M $45.60 175
2017 Q3 10.8M $415M -$4.58M $38.31 157
2017 Q2 10.9M $440M +$15.5M $40.22 157
2017 Q1 10.6M $371M +$54.1M $35.09 156
2016 Q4 10.1M $313M -$1.26M $30.88 155
2016 Q3 9.99M $272M +$3.79M $27.27 128
2016 Q2 9.89M $227M +$23.6M $23.00 126
2016 Q1 9.02M $217M +$24.4M $24.05 140
2015 Q4 7.99M $226M +$224M $28.28 159
2015 Q3 87K $2.05M +$2.05M $23.98 6