RELX PLC - SPONSORED ADR (RELX)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / SPONSORED ADR
Shares, excl. options Q3 2024
72.9M
Holdings value Q3 2024
$3.46B
Value change Q3 2024
+$56.9M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
438
Number of buys Q3 2024
224
Number of sells Q3 2024
-182
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 72.9M $3.46B +$56.9M $47.46 438
2024 Q2 73.3M $3.36B +$71.1M $45.88 430
2024 Q1 71.6M $3.1B +$194M $43.29 414
2023 Q4 67.2M $2.66B +$51.6M $39.66 385
2023 Q3 65.3M $2.2B -$66.3M $33.70 335
2023 Q2 67.6M $2.26B +$48.5M $33.43 328
2023 Q1 66.1M $2.14B -$10.7M $32.44 311
2022 Q4 67.8M $1.88B +$27.7M $27.72 296
2022 Q3 65.9M $1.6B -$27M $24.31 266
2022 Q2 67M $1.81B +$37.3M $26.94 260
2022 Q1 68.8M $2.14B -$60.3M $31.10 258
2021 Q4 70.6M $2.3B +$26.9M $32.61 247
2021 Q3 70M $2.02B -$60.9M $28.86 226
2021 Q2 71.8M $1.91B -$897K $26.67 219
2021 Q1 71.8M $1.81B +$102M $25.16 203
2020 Q4 68.8M $1.7B +$14.5M $24.66 205
2020 Q3 68.5M $1.53B -$14.8M $22.37 192
2020 Q2 69.2M $1.63B +$212M $23.56 213
2020 Q1 60.1M $1.29B +$54.6M $21.40 208
2019 Q4 57.3M $1.45B +$73.5M $25.27 230
2019 Q3 54.4M $1.29B -$11.2M $23.72 207
2019 Q2 56.2M $1.37B +$22.5M $24.41 198
2019 Q1 55.4M $1.19B +$97.1M $21.45 203
2018 Q4 50.8M $1.04B +$66.4M $20.52 185
2018 Q3 47.5M $993M +$270M $20.93 194
2018 Q2 34.6M $752M +$81.9M $21.74 138
2018 Q1 30.7M $641M +$9.31M $20.89 144
2017 Q4 30.2M $715M +$41.3M $23.70 132
2017 Q3 28.3M $633M +$44.5M $22.35 106
2017 Q2 26.3M $576M -$3.1M $21.90 108
2017 Q1 26.5M $525M +$7.31M $19.80 109
2016 Q4 26.2M $470M -$264K $17.97 109
2016 Q3 26.7M $513M +$3.57M $19.16 97
2016 Q2 25.9M $484M +$12.4M $18.70 95
2016 Q1 25.8M $484M +$12.8M $18.79 98
2015 Q4 25.1M $447M +$67.2M $17.83 94
2015 Q3 21.3M $370M +$358M $17.39 84
2015 Q2 98.8K $6.42M +$6.42M $65.04 4