Snap Inc - CL A (SNAP)

Historical Portfolio Holders from Q1 2016 to Q2 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
797 M
Holdings value Q1 2024
$9.14 B
Value change Q1 2024
+$27.5 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
534
Number of buys Q1 2024
262
Number of sells Q1 2024
-208
Average buys Q1 2024 %
+0.007%
Average sells Q1 2024 %
-0.004%
CUSIP
83304A106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 174 K $2.89 M -$159 K $16.61 4
2024 Q1 798 M $9.15 B +$27.5 M $11.48 540
2023 Q4 781 M $13.2 B +$843 M $16.93 537
2023 Q3 740 M $6.59 B +$159 M $8.91 516
2023 Q2 713 M $8.44 B +$582 M $11.84 549
2023 Q1 671 M $7.51 B -$34.3 M $11.21 559
2022 Q4 675 M $6.05 B -$199 M $8.95 554
2022 Q3 695 M $6.83 B -$1.49 B $9.82 526
2022 Q2 839 M $11 B -$1.34 B $13.13 560
2022 Q1 879 M $31.6 B -$44.9 M $35.99 694
2021 Q4 874 M $41.1 B -$1.21 B $47.03 730
2021 Q3 879 M $64.9 B +$3.5 B $73.87 779
2021 Q2 775 M $52.8 B +$1.45 B $68.14 702
2021 Q1 801 M $41.8 B +$2.03 B $52.29 671
2020 Q4 765 M $38.3 B +$3.26 B $50.07 624
2020 Q3 707 M $18.4 B +$533 M $26.11 482
2020 Q2 690 M $16.2 B +$3.3 B $23.49 469
2020 Q1 557 M $6.63 B +$247 M $11.89 410
2019 Q4 514 M $8.39 B +$808 M $16.33 440
2019 Q3 459 M $7.25 B +$1.42 B $15.80 395
2019 Q2 367 M $5.24 B +$337 M $14.30 379
2019 Q1 353 M $3.89 B +$556 M $11.02 321
2018 Q4 305 M $1.68 B -$84.1 M $5.51 283
2018 Q3 311 M $2.63 B +$80.7 M $8.48 288
2018 Q2 284 M $3.71 B +$92.5 M $13.09 317
2018 Q1 270 M $4.28 B +$758 M $15.87 318
2017 Q4 225 M $3.29 B -$407 M $14.61 280
2017 Q3 228 M $3.32 B +$414 M $14.54 269
2017 Q2 197 M $3.48 B -$187 M $17.77 268
2017 Q1 202 M $4.52 B +$4.51 B $22.53 219
2016 Q1 3.01 K $34 K +$34 K $11.30 1