SIRIUS XM HOLDINGS INC. - COM (SIRI)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
76.3K
Holdings value Q3 2024
$1.81M
Value change Q3 2024
+$1.77M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
1
Number of buys Q3 2024
1
Number of sells Q3 2024
-1
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 76.3K $1.81M +$1.77M $23.65 1
2024 Q2 13.6K $38.4K $0 $2.83 1
2024 Q1 13.6K $52.7K -$4.95K $3.88 1
2023 Q4 14.8K $80.9K -$11.7K $5.24 2
2023 Q3 16.9K $76.5K $0 $4.52 1
2023 Q2 16.9K $76.7K -$17K $4.53 1
2023 Q1 20.7K $82.1K -$128K $3.97 1
2022 Q4 42.7K $249K $0 $5.83 2
2022 Q3 42.7K $243K -$28.4K $5.69 2
2022 Q2 47.7K $292K +$8.21K $6.13 2
2022 Q1 46.3K $306K -$13.6K $6.61 2
2021 Q4 48.4K $307K -$57.1K $6.34 2
2021 Q3 57.4K $350K $0 $6.10 2
2021 Q2 57.4K $375K -$576 $6.53 2
2021 Q1 57.5K $349K +$41.7K $6.06 2
2020 Q4 50.6K $322K +$3.82K $6.36 1
2020 Q3 50K $268K -$5.36K $5.36 1
2020 Q2 51K $299K -$888K $5.86 1
2020 Q1 231K $1.14M -$1.42M $4.93 2
2019 Q4 443K $3.17M -$27.2M $7.15 3
2019 Q3 4.24M $26.5M -$5.02M $6.25 4
2019 Q2 5.05M $28.2M +$26.5M $5.58 6
2019 Q1 301K $1.71M +$5.67K $5.67 5
2018 Q4 301K $1.72M -$935K $5.71 4
2018 Q3 464K $2.93M +$53.1K $6.32 5
2018 Q2 455K $3.08M +$280K $6.77 6
2018 Q1 414K $2.58M +$152K $6.23 4
2017 Q4 390K $2.09M +$2.08K $5.36 5
2017 Q3 390K $2.15M -$388K $5.52 5
2017 Q2 461K $2.52M +$27.2K $5.47 6
2017 Q1 456K $2.35M -$25.7K $5.15 5
2016 Q4 461K $2.05M -$73K $4.45 5
2016 Q3 228K $951K +$153K $4.17 5
2016 Q2 682K $2.69M +$1.93M $3.95 7
2016 Q1 193K $761K +$187K $3.95 7
2015 Q4 145K $590K -$56K $4.07 5
2015 Q3 160K $598K -$4 $3.74 6
2015 Q2 160K $605K -$1.32M $3.74 6
2015 Q1 506K $1.93M +$964K $3.82 10
2014 Q4 256K $897K -$2.24M $3.50 10
2014 Q3 874K $3.05M +$141K $3.49 9
2014 Q2 834K $2.88M -$13.7M $3.47 11
2014 Q1 5.08M $16.2M -$10.1M $3.20 14