Qorvo, Inc. - COM (QRVO)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
86.2M
Holdings value Q2 2024
$10B
Value change Q2 2024
+$231M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
552
Number of buys Q2 2024
234
Number of sells Q2 2024
-296
Average buys Q2 2024 %
+0.337%
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 84.9K $8.77M +$3.8M $103.30 5
2024 Q2 86.2M $10B +$231M $116.04 558
2024 Q1 84.4M $9.69B -$97.1M $114.83 577
2023 Q4 85.4M $9.6B -$18.9M $112.61 587
2023 Q3 85.6M $8.16B +$19.9M $95.47 536
2023 Q2 85M $8.67B -$171M $102.03 532
2023 Q1 86.5M $8.78B -$66K $101.57 528
2022 Q4 86.9M $7.87B -$150M $90.64 561
2022 Q3 88.7M $7.05B -$220M $79.41 523
2022 Q2 90.9M $8.57B -$253M $94.32 582
2022 Q1 93.9M $11.6B +$43.4M $124.10 635
2021 Q4 93M $14.5B -$3.24M $156.39 692
2021 Q3 92.6M $15.5B -$206M $167.19 714
2021 Q2 93.8M $18.3B -$262M $195.65 717
2021 Q1 94.9M $17.3B -$58.6M $182.70 695
2020 Q4 95.4M $15.9B -$494M $166.27 684
2020 Q3 98.1M $12.7B -$88M $129.01 614
2020 Q2 99.1M $10.9B -$379M $110.53 566
2020 Q1 103M $8.3B -$163M $80.63 492
2019 Q4 104M $12.1B -$409M $116.23 545
2019 Q3 109M $8.04B -$47.8M $74.14 434
2019 Q2 109M $7.28B -$104M $66.61 423
2019 Q1 112M $8.01B -$359M $71.73 437
2018 Q4 117M $7.11B -$180M $60.73 405
2018 Q3 119M $9.18B -$25.1M $76.89 420
2018 Q2 120M $9.6B -$392M $80.17 428
2018 Q1 124M $8.77B +$100M $70.45 421
2017 Q4 123M $8.22B -$111M $66.60 395
2017 Q3 124M $8.78B +$211M $70.68 367
2017 Q2 121M $7.67B -$122M $63.32 389
2017 Q1 123M $8.44B +$783M $68.56 366
2016 Q4 120M $6.34B +$50.3M $52.73 361
2016 Q3 119M $6.62B +$363M $55.74 365
2016 Q2 112M $6.21B -$237M $55.26 349
2016 Q1 117M $5.89B -$123M $50.41 326
2015 Q4 120M $6.09B -$21.3M $50.90 354
2015 Q3 121M $5.43B -$476M $45.05 323
2015 Q2 125M $10B +$251M $80.27 415
2015 Q1 120M $9.55B +$9.51B $79.70 334
2014 Q4 459K $30.5M +$30.5M $67.65 4
2014 Q1 325 $25.9K $0 $79.70 1