Spirit AeroSystems Holdings, Inc. - COM CL A (SPR)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM CL A
Shares, excl. options Q2 2024
118M
Holdings value Q2 2024
$3.89B
Value change Q2 2024
+$277M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
290
Number of buys Q2 2024
130
Number of sells Q2 2024
-145
Average buys Q2 2024 %
+0.005%
Average sells Q2 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 23.5K $765K -$739K $32.52 4
2024 Q2 118M $3.89B +$277M $32.87 302
2024 Q1 109M $3.93B +$82.5M $36.07 307
2023 Q4 108M $3.43B +$594M $31.78 296
2023 Q3 90.3M $1.46B -$207M $16.14 249
2023 Q2 93.7M $2.75B -$68.1M $29.19 276
2023 Q1 94.8M $3.27B +$190M $34.53 278
2022 Q4 89.7M $2.66B +$29.7M $29.60 276
2022 Q3 91.2M $2B -$38M $21.92 250
2022 Q2 88.2M $2.59B -$89.6M $29.30 269
2022 Q1 85.9M $4.18B +$140M $48.89 331
2021 Q4 83.4M $3.61B +$383M $43.09 301
2021 Q3 77.1M $3.41B -$113M $44.19 283
2021 Q2 79.7M $3.76B -$32.4M $47.19 310
2021 Q1 80.6M $3.92B +$86.3M $48.65 322
2020 Q4 79.1M $3.09B +$68.4M $39.09 283
2020 Q3 79.5M $1.5B -$196M $18.91 231
2020 Q2 87M $2.08B -$307M $23.94 257
2020 Q1 99.6M $2.38B -$218M $23.93 308
2019 Q4 100M $7.3B +$3.58M $72.88 430
2019 Q3 99.7M $8.19B -$116M $82.24 428
2019 Q2 101M $8.21B +$248M $81.37 413
2019 Q1 100M $9.14B -$69.4M $91.53 425
2018 Q4 101M $7.28B -$232M $72.09 371
2018 Q3 104M $9.49B -$391M $91.67 393
2018 Q2 108M $9.26B -$234M $85.91 386
2018 Q1 110M $9.17B -$157M $83.70 407
2017 Q4 112M $9.77B -$59.7M $87.25 382
2017 Q3 112M $8.74B -$450M $77.72 347
2017 Q2 119M $6.88B -$136M $57.94 298
2017 Q1 121M $7B +$166M $57.92 312
2016 Q4 124M $7.24B -$78.5M $58.35 333
2016 Q3 126M $5.61B -$224M $44.54 280
2016 Q2 131M $5.65B -$163M $43.00 311
2016 Q1 135M $6.13B -$38M $45.36 317
2015 Q4 136M $6.8B -$86.8M $50.07 311
2015 Q3 137M $6.61B -$49.2M $48.34 315
2015 Q2 138M $7.59B +$42.8M $55.11 307
2015 Q1 137M $7.17B -$150M $52.21 285
2014 Q4 141M $6.06B +$232M $43.04 241
2014 Q3 132M $5.02B +$493M $38.06 234
2014 Q2 119M $4.02B +$44.6M $33.70 218
2014 Q1 117M $3.29B +$202M $28.19 197