SIRIUS XM HOLDINGS INC. - COM (SIRI)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
440M
Holdings value Q2 2024
$1.25B
Value change Q2 2024
+$199M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
531
Number of buys Q2 2024
234
Number of sells Q2 2024
-316
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 0 $0 -$495K 0
2024 Q2 440M $1.25B +$199M $2.83 539
2024 Q1 362M $1.4B -$194M $3.88 607
2023 Q4 410M $2.24B +$72.8M $5.47 647
2023 Q3 395M $1.79B -$45.1M $4.52 609
2023 Q2 405M $1.83B -$5.16M $4.53 598
2023 Q1 407M $1.61B +$26.3M $3.97 625
2022 Q4 398M $2.32B -$10.3M $5.84 654
2022 Q3 398M $2.27B -$112M $5.71 606
2022 Q2 414M $2.54B -$200M $6.13 607
2022 Q1 451M $2.98B -$70.6M $6.62 610
2021 Q4 465M $2.95B -$287M $6.35 619
2021 Q3 509M $3.1B -$272M $6.10 593
2021 Q2 553M $3.61B -$150M $6.54 584
2021 Q1 575M $3.5B -$326M $6.09 600
2020 Q4 634M $4.04B -$288M $6.37 640
2020 Q3 684M $3.66B -$415M $5.36 612
2020 Q2 759M $4.45B -$325M $5.87 610
2020 Q1 815M $4.02B +$108M $4.94 596
2019 Q4 786M $5.62B -$72.9M $7.15 601
2019 Q3 796M $4.98B -$341M $6.26 561
2019 Q2 852M $4.75B -$542M $5.58 579
2019 Q1 967M $5.48B +$1.12B $5.67 615
2018 Q4 770M $4.38B -$111M $5.71 579
2018 Q3 789M $4.97B -$384M $6.32 570
2018 Q2 845M $5.71B -$46.6M $6.77 536
2018 Q1 852M $5.3B -$271M $6.24 521
2017 Q4 903M $4.83B -$160M $5.36 518
2017 Q3 912M $5.03B -$176M $5.52 478
2017 Q2 954M $5.22B -$439M $5.47 475
2017 Q1 1.05B $5.4B +$231M $5.15 460
2016 Q4 1.09B $4.84B -$42.6M $4.45 450
2016 Q3 1.1B $4.57B +$342M $4.17 437
2016 Q2 1.03B $4.07B -$200M $3.95 437
2016 Q1 1.08B $4.27B -$370M $3.95 423
2015 Q4 1.17B $4.78B -$48M $4.07 449
2015 Q3 1.17B $4.38B -$169M $3.74 422
2015 Q2 1.22B $4.54B -$180M $3.73 427
2015 Q1 1.26B $4.87B -$41.4M $3.82 423
2014 Q4 1.28B $4.49B -$319M $3.50 423
2014 Q3 1.36B $4.76B -$160M $3.49 422
2014 Q2 1.43B $4.96B -$413M $3.46 426
2014 Q1 1.53B $4.9B +$56.2M $3.20 443