RYANAIR HOLDINGS PLC - SPONSORED ADS (RYAAY)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / SPONSORED ADS
Shares, excl. options Q3 2024
243M
Holdings value Q3 2024
$11B
Value change Q3 2024
+$6.12B
Grand Portfolio weight change Q3 2024
+0.012%
Number of holders
274
Number of buys Q3 2024
248
Number of sells Q3 2024
-67
Average buys Q3 2024 %
+0.016%
Average sells Q3 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 243M $11B +$6.12B $45.18 276
2024 Q2 103M $12B -$197M $116.44 295
2024 Q1 105M $15.2B +$574M $145.59 309
2023 Q4 101M $13.5B +$576M $133.36 307
2023 Q3 96.3M $9.36B -$152M $97.21 270
2023 Q2 98.7M $10.9B -$5.99M $110.60 264
2023 Q1 98.9M $9.32B +$95.7M $94.29 240
2022 Q4 98.3M $7.35B +$612M $74.76 221
2022 Q3 89.8M $5.25B -$150M $58.42 208
2022 Q2 92.4M $6.21B -$18.7M $67.25 221
2022 Q1 92.2M $8.03B -$283M $87.12 240
2021 Q4 95.1M $9.73B +$121M $102.33 244
2021 Q3 94M $10.3B -$174M $110.06 236
2021 Q2 95.2M $10.3B +$41.2M $108.21 244
2021 Q1 94.8M $10.9B +$82.9M $115.00 241
2020 Q4 94.3M $10.4B -$108M $109.98 236
2020 Q3 96.7M $7.9B +$453M $81.76 203
2020 Q2 90.8M $6.03B +$50.5M $66.34 216
2020 Q1 90.4M $4.8B -$187M $53.09 212
2019 Q4 92M $8.06B -$111M $87.61 228
2019 Q3 92.6M $6.15B -$142M $66.38 193
2019 Q2 95.1M $6.1B -$422M $64.14 219
2019 Q1 101M $7.49B -$158M $74.94 250
2018 Q4 103M $7.35B -$65.1M $71.34 244
2018 Q3 103M $9.87B -$86.5M $96.04 255
2018 Q2 104M $11.9B +$44.1M $114.23 259
2018 Q1 103M $12.7B +$305M $122.85 272
2017 Q4 101M $10.5B +$414M $104.19 281
2017 Q3 97.1M $10.2B +$41.9M $105.42 259
2017 Q2 97.2M $10.5B +$260M $107.61 244
2017 Q1 97.7M $8.11B +$33.1M $82.98 238
2016 Q4 98.2M $8.18B -$91.4M $83.26 249
2016 Q3 101M $7.57B -$42.6M $75.03 244
2016 Q2 102M $7.11B +$37.4M $69.54 249
2016 Q1 101M $8.7B -$259M $85.82 248
2015 Q4 105M $9.04B +$5.5B $86.46 232
2015 Q3 40.7M $3.19B +$3.11B $78.30 19
2015 Q2 124 $9K +$9K $72.58 1