Block, Inc. - CL A (SQ)

Historical Portfolio Holders from Q4 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A
Shares, excl. options Q2 2024
386M
Holdings value Q2 2024
$24.9B
Value change Q2 2024
+$433M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
962
Number of buys Q2 2024
435
Number of sells Q2 2024
-511
Average buys Q2 2024 %
+0.008%
Average sells Q2 2024 %
-0.016%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 236K $15.9M -$2.26M $67.13 14
2024 Q2 386M $24.9B +$433M $64.49 968
2024 Q1 376M $31.8B -$508M $84.58 1,043
2023 Q4 384M $29.7B +$1.93B $77.35 998
2023 Q3 365M $16.2B -$1.1B $44.26 857
2023 Q2 380M $25.3B -$916M $66.57 942
2023 Q1 396M $27.1B +$875M $68.65 967
2022 Q4 384M $24.2B +$1.2B $62.84 969
2022 Q3 363M $20B -$85.1M $54.99 912
2022 Q2 356M $21.9B -$1.18B $61.46 965
2022 Q1 368M $49.9B +$6.32B $135.60 1,203
2021 Q4 318M $51.4B +$500M $161.51 1,302
2021 Q3 310M $74.4B +$4.01B $239.84 1,361
2021 Q2 294M $71.6B +$701M $243.80 1,334
2021 Q1 290M $65.9B -$772M $227.05 1,279
2020 Q4 294M $64.1B -$456M $217.64 1,226
2020 Q3 293M $47.7B -$853M $162.55 975
2020 Q2 298M $31.3B +$2.63B $104.94 844
2020 Q1 280M $14.7B +$1.1B $52.38 730
2019 Q4 255M $16B +$138M $62.56 766
2019 Q3 252M $15.6B +$554M $61.95 691
2019 Q2 242M $17.5B +$1.46B $72.53 745
2019 Q1 223M $16.7B +$393M $74.92 742
2018 Q4 219M $12.3B +$843M $56.09 639
2018 Q3 201M $19.9B -$1.05B $99.01 591
2018 Q2 213M $13.1B +$184M $61.64 525
2018 Q1 212M $10.4B +$324M $49.20 486
2017 Q4 208M $7.2B -$218M $34.67 426
2017 Q3 212M $6.11B +$149M $28.81 321
2017 Q2 208M $4.87B +$770M $23.46 288
2017 Q1 177M $3.05B +$949M $17.28 262
2016 Q4 131M $1.79B +$515M $13.63 229
2016 Q3 93.6M $1.09B +$442M $11.66 182
2016 Q2 57.7M $522M +$118M $9.05 151
2016 Q1 40.8M $596M +$88.8M $15.28 114
2015 Q4 35.6M $456M +$455M $13.09 96