SOLAREDGE TECHNOLOGIES, INC. - COM (SEDG)

Historical Portfolio Holders from Q1 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
56.8M
Holdings value Q3 2024
$1.3B
Value change Q3 2024
+$9.24M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
278
Number of buys Q3 2024
121
Number of sells Q3 2024
-164
Average buys Q3 2024 %
+0%
Average sells Q3 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 56.8M $1.3B +$9.24M $22.91 284
2024 Q2 55.5M $1.4B +$32.6M $25.26 325
2024 Q1 50.8M $3.61B -$213M $70.98 359
2023 Q4 49.4M $4.62B +$40.6M $93.60 442
2023 Q3 47.9M $6.19B -$643M $129.51 553
2023 Q2 48.5M $13B +$91.1M $269.05 657
2023 Q1 47.3M $14.3B +$385M $303.95 669
2022 Q4 46.5M $13.2B +$262M $283.27 664
2022 Q3 45.3M $10.5B +$135M $231.46 613
2022 Q2 44.7M $12.2B +$805M $273.68 612
2022 Q1 42.5M $13.7B +$858M $322.37 634
2021 Q4 39.9M $11.2B +$217M $280.57 585
2021 Q3 39M $10.3B +$85.8M $265.22 536
2021 Q2 38.7M $10.7B -$16.5M $276.37 532
2021 Q1 39.1M $11.2B -$93.5M $287.44 540
2020 Q4 41.7M $13.3B -$424M $319.12 541
2020 Q3 43.3M $10.3B -$71.4M $238.35 453
2020 Q2 44.4M $6.15B +$336M $138.78 382
2020 Q1 42.3M $3.46B +$151M $81.88 322
2019 Q4 38.7M $3.68B +$130M $95.09 329
2019 Q3 39M $3.27B +$91.7M $83.72 285
2019 Q2 38.2M $2.39B +$128M $62.46 242
2019 Q1 39M $1.47B +$14M $37.68 212
2018 Q4 38.8M $1.36B +$42M $35.10 210
2018 Q3 37M $1.39B +$85.2M $37.65 211
2018 Q2 34.2M $1.65B +$105M $47.85 231
2018 Q1 31.7M $1.67B +$138M $52.60 232
2017 Q4 29.4M $1.1B -$44.2M $37.55 205
2017 Q3 29.1M $830M +$151M $28.55 173
2017 Q2 24.2M $484M +$48.8M $20.00 119
2017 Q1 22.8M $356M +$4.37M $15.60 100
2016 Q4 24.4M $303M -$33.9M $12.40 106
2016 Q3 25.5M $439M +$7.51M $17.23 113
2016 Q2 24.8M $487M +$52.1M $19.60 121
2016 Q1 21.7M $546M +$85M $25.14 114
2015 Q4 18.1M $510M +$179M $28.17 97
2015 Q3 11.7M $268M -$1.74M $22.92 82
2015 Q2 10.8M $394M +$20.8M $36.35 80
2015 Q1 11.3M $248M +$248M $21.93 56