Paycom Software, Inc. - COM (PAYC)

Historical Portfolio Holders from Q2 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
46.5M
Holdings value Q2 2024
$6.67B
Value change Q2 2024
+$229M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
618
Number of buys Q2 2024
331
Number of sells Q2 2024
-328
Average buys Q2 2024 %
+0.003%
Average sells Q2 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 55.5K $9.24M -$592K $166.57 11
2024 Q2 46.5M $6.67B +$229M $143.04 624
2024 Q1 44.2M $8.79B +$54.4M $199.01 640
2023 Q4 43.7M $9B -$139M $206.72 656
2023 Q3 42.6M $11B -$547M $259.27 683
2023 Q2 45.2M $14.5B -$127M $321.24 685
2023 Q1 45.6M $13.8B +$144M $304.01 673
2022 Q4 45M $14B +$264M $310.31 695
2022 Q3 44.8M $14.8B +$110M $329.99 659
2022 Q2 44.3M $12.4B -$16.4M $280.12 627
2022 Q1 44.5M $15.4B +$112M $346.38 631
2021 Q4 43.8M $18.2B -$73.9M $415.19 659
2021 Q3 43.9M $21.7B +$102M $495.75 646
2021 Q2 43.7M $15.9B +$85.5M $363.47 603
2021 Q1 43.8M $16.2B -$220M $370.06 612
2020 Q4 44.4M $20.1B +$283M $452.25 622
2020 Q3 43.8M $13.6B +$36.4M $311.30 550
2020 Q2 43.6M $13.5B -$197M $309.73 583
2020 Q1 44.4M $8.98B +$459M $202.01 529
2019 Q4 41.8M $11.1B +$116M $264.76 503
2019 Q3 41.3M $8.65B -$353M $209.49 476
2019 Q2 43M $9.74B -$177M $226.72 465
2019 Q1 44M $8.32B -$324M $189.13 396
2018 Q4 45.8M $5.61B -$15.5M $122.45 343
2018 Q3 45.6M $7.09B -$458M $155.41 342
2018 Q2 49M $4.85B -$13M $98.83 314
2018 Q1 49M $5.26B -$210M $107.39 295
2017 Q4 51.3M $4.12B -$31.1M $80.33 231
2017 Q3 51.7M $3.87B +$27.2M $74.96 220
2017 Q2 51.5M $3.52B -$161M $68.41 208
2017 Q1 54.1M $3.11B +$147M $57.51 184
2016 Q4 54.3M $2.47B +$208M $45.49 187
2016 Q3 49.5M $2.48B +$112M $50.13 198
2016 Q2 48.1M $2.08B +$249M $43.21 180
2016 Q1 42.4M $1.51B +$98.2M $35.60 152
2015 Q4 39.7M $1.49B +$346M $37.63 180
2015 Q3 30.5M $1.09B +$282M $35.91 145
2015 Q2 22.7M $774M +$256M $34.15 134
2015 Q1 15.2M $487M +$263M $32.06 89
2014 Q4 7.01M $185M +$12.7M $26.33 59
2014 Q3 6.53M $108M +$10.1M $16.56 45
2014 Q2 5.97M $87M +$87M $14.60 39