SPRINT CORP - COM SER 1 (S) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2022

Type / Class
Equity / COM SER 1
Symbol
S on NYSE
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of SPRINT CORP - COM SER 1 (S) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q1 0 $0 -$3,887,730 0
2021 Q4 77,000 $3,887,730 +$1,868,130 $50.49 1
2021 Q3 40,000 $2,142,800 $53.57 1
2020 Q3 0 $0 -$3,664,000 0
2020 Q2 667,916 $3,664,000 -$35,281,370,917 $4.56 4
2020 Q1 4,094,281,053 $35,291,482,456 +$692,034,397 $8.62 316
2019 Q4 4,029,263,486 $20,992,156,713 -$129,132,525 $5.21 343
2019 Q3 4,047,468,002 $24,972,678,566 +$52,112,934 $6.17 334
2019 Q2 4,036,438,779 $26,519,511,392 +$353,524,799 $6.57 343
2019 Q1 3,990,643,482 $22,547,439,000 +$21,836,095 $5.65 344
2018 Q4 3,984,621,311 $23,190,935,562 +$15,801,445 $5.82 336
2018 Q3 3,981,030,986 $26,035,692,156 +$297,078,472 $6.54 322
2018 Q2 3,940,568,600 $21,436,696,372 +$112,070,159 $5.44 313
2018 Q1 3,922,497,240 $19,145,229,977 +$52,254,098 $4.88 302
2017 Q4 3,909,424,608 $23,026,650,547 -$3,231,923 $5.89 316
2017 Q3 3,892,863,316 $30,286,429,948 -$71,116,788 $7.78 324
2017 Q2 3,901,896,160 $32,034,615,325 -$174,729,932 $8.21 342
2017 Q1 3,929,450,211 $34,107,437,090 +$270,727,916 $8.68 346
2016 Q4 3,935,654,551 $33,135,462,631 +$19,434,563 $8.42 336
2016 Q3 3,934,655,818 $26,074,800,415 +$39,960,026 $6.63 310
2016 Q2 3,931,031,722 $17,807,202,350 +$110,102,312 $4.53 270
2016 Q1 3,909,138,048 $13,602,961,733 -$174,391,246 $3.48 273
2015 Q4 3,958,694,827 $14,329,770,291 -$41,828,930 $3.62 274
2015 Q3 3,955,611,803 $15,190,639,244 +$310,741,524 $3.84 253
2015 Q2 3,870,841,759 $17,651,327,314 +$182,036,747 $4.56 266
2015 Q1 3,818,619,539 $18,098,304,578 +$111,692,978 $4.74 282
2014 Q4 3,797,173,242 $15,759,194,388 -$394,200,474 $4.15 281
2014 Q3 3,856,039,863 $24,448,083,364 +$27,857,903 $6.34 296
2014 Q2 3,857,646,004 $32,904,318,968 -$55,544,148 $8.53 310
2014 Q1 3,854,593,662 $35,421,818,242 +$286,147,484 $9.19 310