Snap-on Inc - COM (SNA)

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
46.7M
Holdings value Q3 2024
$13.5B
Value change Q3 2024
+$33.2M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
861
Number of buys Q3 2024
398
Number of sells Q3 2024
-362
Average buys Q3 2024 %
+0.003%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 46.7M $13.5B +$33.2M $289.71 865
2024 Q2 46.7M $12.2B +$289M $261.39 849
2024 Q1 45.6M $13.5B +$61.7M $296.22 852
2023 Q4 44.7M $12.9B +$154M $288.84 840
2023 Q3 44.9M $11.5B -$48.8M $255.06 793
2023 Q2 44.8M $12.9B -$139M $288.19 800
2023 Q1 44.7M $11B -$65.5M $246.89 771
2022 Q4 45.6M $10.4B -$29.8M $228.49 746
2022 Q3 45.8M $9.22B -$33.3M $201.35 690
2022 Q2 46.3M $9.13B -$225M $197.03 689
2022 Q1 47.2M $9.7B +$44.2M $205.48 693
2021 Q4 46.9M $10.1B -$98.9M $215.38 707
2021 Q3 47.2M $9.87B -$2.46M $208.95 665
2021 Q2 47.3M $10.6B +$23.5M $223.43 669
2021 Q1 47.4M $10.9B -$369M $230.74 640
2020 Q4 49.2M $8.42B -$176M $171.14 617
2020 Q3 50.3M $7.41B -$237M $147.13 548
2020 Q2 51.9M $7.17B +$182M $138.51 525
2020 Q1 50.5M $5.49B -$242M $108.82 531
2019 Q4 52.2M $8.84B +$40.4M $169.40 575
2019 Q3 52M $8.14B -$303M $156.54 547
2019 Q2 54M $8.93B -$280M $165.64 565
2019 Q1 56M $8.76B +$391M $156.52 589
2018 Q4 53.6M $7.77B -$226M $145.29 578
2018 Q3 54.8M $10B -$11.7M $183.60 631
2018 Q2 55.1M $8.86B +$53.7M $160.72 601
2018 Q1 54.8M $8.09B -$320M $147.54 613
2017 Q4 57.1M $9.96B -$26.8M $174.30 606
2017 Q3 57.3M $8.53B +$485M $149.01 562
2017 Q2 54.1M $8.54B +$328M $158.00 575
2017 Q1 52.3M $8.82B +$690M $168.67 576
2016 Q4 51.8M $8.87B -$139M $171.27 568
2016 Q3 51.7M $7.86B +$303M $151.96 538
2016 Q2 49.7M $7.85B +$112M $157.82 545
2016 Q1 49M $7.69B +$33.9M $156.99 536
2015 Q4 49.9M $8.55B +$38.9M $171.43 522
2015 Q3 49.7M $7.5B -$120M $150.94 503
2015 Q2 50.7M $8.08B +$236M $159.25 478
2015 Q1 48.9M $7.19B -$7.83M $147.06 465
2014 Q4 49.5M $6.77B +$26M $136.74 452
2014 Q3 49M $5.93B +$24.6M $121.08 430
2014 Q2 48.8M $5.78B -$131M $118.52 411
2014 Q1 49.6M $5.62B +$29.5M $113.48 400