BOOKING HOLDINGS INC - COM (PCLN)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 1.1K $4.37M -$27.3K $3,985.45 2
2024 Q1 1.11K $4.03M -$254K $3,627.86 3
2023 Q4 1.18K $4.19M -$145K $3,540.93 2
2023 Q3 1.22K $3.77M +$79.8K $3,077.69 2
2023 Q2 1.2K $3.23M -$27K $2,700.67 1
2023 Q1 1.21K $3.2M -$23.9K $2,652.57 1
2022 Q4 1.22K $2.45M +$30.2K $2,015.64 1
2022 Q3 1.2K $1.97M +$83.8K $1,643.33 1
2022 Q2 1.15K $2.01M +$15.7K $1,749.35 1
2022 Q1 1.14K $2.68M -$1.44M $2,348.25 1
2021 Q4 1.74K $4.17M -$19M $2,399.74 2
2021 Q3 9.76K $23.2M +$1.29M $2,373.83 3
2021 Q2 9.22K $20.2M -$46K $2,187.87 2
2021 Q1 9.24K $21.5M -$7.94M $2,329.83 2
2020 Q4 13.5K $28.4M -$1.36M $1,968.93 4
2020 Q3 14.1K $24.2M -$267K $1,710.69 4
2020 Q2 14.3K $22.8M -$322K $1,592.32 4
2020 Q1 14.5K $19.5M -$3.73M $1,345.29 4
2019 Q4 17K $33.5M -$594K $2,053.68 5
2019 Q3 14.8K $28.8M -$5.94M $1,918.60 4
2019 Q2 18K $33.7M +$3.57M $1,874.71 6
2019 Q1 16.1K $28.1M -$801K $1,744.80 6
2018 Q4 16.5K $28.6M -$8.63M $1,722.38 7
2018 Q3 21.1K $41.9M +$7.44M $1,983.96 7
2018 Q2 17.4K $35.2M -$89.5M $2,027.04 5
2018 Q1 68.2K $125M -$78.5B $2,038.40 12
2017 Q4 45.4M $78.8B -$2.3B $1,737.74 1,075
2017 Q3 46.4M $84.9B -$305M $1,830.82 1,030
2017 Q2 46.7M $87.3B +$411M $1,870.52 1,020
2017 Q1 47.1M $83.8B +$767M $1,779.97 1,003
2016 Q4 46.5M $68.2B -$1.04B $1,466.06 953
2016 Q3 46.1M $67.9B +$991M $1,471.49 911
2016 Q2 46.8M $58.4B +$58M $1,248.41 885
2016 Q1 46.5M $60B -$635M $1,288.96 893
2015 Q4 47.2M $60.2B -$776M $1,274.95 883
2015 Q3 47.7M $59.1B -$665M $1,236.86 855
2015 Q2 48.5M $55.8B -$366M $1,151.37 793
2015 Q1 48.7M $56.7B -$419M $1,164.15 811
2014 Q4 49.2M $56.1B +$68.1M $1,140.21 767
2014 Q3 48.9M $56.6B -$111M $1,158.58 740
2014 Q2 48.9M $58.9B -$1.23B $1,203.00 744
2014 Q1 49.2M $58.6B -$514M $1,191.89 741