RALPH LAUREN CORP - CL A (RL)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / CL A
Shares, excl. options Q3 2024
41.5M
Holdings value Q3 2024
$8.05B
Value change Q3 2024
-$125M
Grand Portfolio weight change Q3 2024
0%
Number of holders
483
Number of buys Q3 2024
264
Number of sells Q3 2024
-212
Average buys Q3 2024 %
+0.002%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 41.5M $8.05B -$125M $193.87 490
2024 Q2 41.7M $7.29B +$106M $175.06 493
2024 Q1 41M $7.69B +$323M $187.76 483
2023 Q4 39.3M $5.67B -$131M $144.20 425
2023 Q3 40.9M $4.75B -$412M $116.09 378
2023 Q2 44.3M $5.45B +$107M $123.30 373
2023 Q1 43.5M $5.07B +$14.9M $116.67 379
2022 Q4 43.2M $4.58B -$42.4M $105.67 355
2022 Q3 43.6M $3.71B -$16.1M $84.93 312
2022 Q2 43.8M $3.93B +$38.5M $89.65 316
2022 Q1 43.5M $4.94B -$325M $113.44 347
2021 Q4 46.3M $5.5B -$103M $118.86 328
2021 Q3 47M $5.22B +$61M $111.04 308
2021 Q2 46.3M $5.46B +$173M $117.81 328
2021 Q1 44.7M $5.51B -$43.4M $123.16 330
2020 Q4 45.3M $4.7B -$209M $103.74 323
2020 Q3 48.2M $3.27B +$1.25M $67.97 326
2020 Q2 48M $3.48B -$28.2M $72.52 341
2020 Q1 48.5M $3.24B -$49.8M $66.83 346
2019 Q4 47.7M $5.59B -$324M $117.22 382
2019 Q3 50.2M $4.78B -$143M $95.47 388
2019 Q2 51.5M $5.84B -$81.4M $113.59 425
2019 Q1 52.2M $6.75B +$40.7M $129.68 432
2018 Q4 52.3M $5.4B -$534M $103.46 413
2018 Q3 56.4M $7.75B +$445M $137.55 400
2018 Q2 53.3M $6.69B -$502M $125.72 423
2018 Q1 57M $6.36B -$277M $111.80 396
2017 Q4 60.1M $6.22B +$523M $103.69 387
2017 Q3 53.5M $4.72B +$321M $88.29 365
2017 Q2 51.7M $3.82B +$304M $73.80 347
2017 Q1 47.4M $3.87B -$233M $81.62 379
2016 Q4 52.4M $4.73B +$267M $90.32 402
2016 Q3 51.4M $5.2B -$143M $101.14 396
2016 Q2 53.3M $4.78B +$6.5M $89.62 395
2016 Q1 52.6M $5.07B -$627M $96.26 398
2015 Q4 59M $6.58B +$118M $111.48 385
2015 Q3 57.6M $6.8B -$57.3M $118.16 370
2015 Q2 58.4M $7.73B +$77.4M $132.36 369
2015 Q1 56.9M $7.49B -$896M $131.50 380
2014 Q4 61.3M $11.3B +$322M $185.16 391
2014 Q3 59.7M $9.84B +$268M $164.73 390
2014 Q2 58.1M $9.34B -$1.64M $160.69 376
2014 Q1 57.7M $9.27B +$158M $160.93 391