RANDSTAD H - Common Stock (RANJY)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / Common Stock
Shares, excl. options Q2 2024
129K
Holdings value Q2 2024
$2.92M
Value change Q2 2024
+$425K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
3
Number of buys Q2 2024
1
Number of sells Q2 2024
-1
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 129K $2.92M +$425K $22.62 3
2024 Q1 110K $3.06M -$60.8K $27.74 3
2023 Q4 113K $3.54M +$189K $31.42 4
2023 Q3 107K $2.94M +$89.8K $27.59 5
2023 Q2 103K $2.73M -$2.86M $26.37 5
2023 Q1 200K $5.91M -$583K $29.63 6
2022 Q4 219K $6.7M +$3.29M $30.56 2
2022 Q3 112K $2.41M -$185K $21.51 1
2022 Q2 120K $2.9M +$2.89M $24.10 3
2022 Q1 455 $14K +$8.39K $31.86 2
2021 Q4 180 $6K +$1.09K $35.98 2
2021 Q3 144 $5K -$6.82M $36.46 2
2021 Q2 178K $6.82M -$14.5M $39.98 4
2021 Q1 584K $20.7M -$507K $35.52 5
2020 Q4 598K $19.6M -$1.13M $32.70 4
2020 Q3 633K $16.6M -$1M $26.29 4
2020 Q2 671K $15.1M +$5.44M $22.54 4
2020 Q1 430K $7.42M +$233K $17.26 4
2019 Q4 415K $12.6M +$306K $30.32 5
2019 Q3 405K $9.94M +$6.12M $24.55 5
2019 Q2 156K $4.28M +$87.4K $27.53 4
2019 Q1 152K $3.71M +$246K $24.38 3
2018 Q4 142K $3.26M +$2.07M $22.90 3
2018 Q3 52K $1.38M +$345K $26.52 1
2018 Q2 39K $1.14M -$145K $29.28 1
2018 Q1 43.9K $1.52M +$128K $33.78 2
2017 Q4 40.2K $1.23M +$10.6K $29.96 2
2017 Q3 39.9K $1.23M +$105K $30.36 3
2017 Q2 36.5K $1.07M +$267K $29.27 3
2017 Q1 27.4K $791K +$31.2K $28.92 3
2016 Q4 26.3K $710K +$268K $26.34 2
2016 Q3 16.3K $373K +$373K $22.83 1
2016 Q2 0 $0 -$245K 0
2016 Q1 8.83K $245K -$8.05K $27.76 1
2015 Q4 9.12K $283K +$283K $31.04 1
2015 Q3 0 $0 -$296K 0
2015 Q2 9.06K $296K -$163 $32.66 1
2015 Q1 9.07K $273K +$9.94K $30.11 1
2014 Q4 8.74K $208K -$50.3K $23.81 1
2014 Q3 10.9K $253K +$18.8K $23.34 2
2014 Q2 10.1K $272K -$37.9K $26.54 2
2014 Q1 11.5K $331K -$25.9K $28.75 2