STERICYCLE INC - COM (SRCL)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
83.7M
Holdings value Q3 2024
$5.1B
Value change Q3 2024
-$106M
Grand Portfolio weight change Q3 2024
0%
Number of holders
330
Number of buys Q3 2024
135
Number of sells Q3 2024
-215
Average buys Q3 2024 %
+0.01%
Average sells Q3 2024 %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 83.7M $5.1B -$106M $61.00 331
2024 Q2 85.7M $4.98B -$473M $58.13 383
2024 Q1 95.4M $5.03B -$56.7M $52.75 344
2023 Q4 96.5M $4.78B +$91.5M $49.56 328
2023 Q3 94.7M $4.24B +$150M $44.71 318
2023 Q2 91.3M $4.24B +$62.8M $46.44 336
2023 Q1 89.9M $3.92B -$57.8M $43.61 330
2022 Q4 91.1M $4.55B -$86.7M $49.89 318
2022 Q3 93.3M $3.93B -$124M $42.11 289
2022 Q2 93.4M $4.09B +$97.1M $43.85 298
2022 Q1 91.2M $5.37B -$84.4M $58.92 344
2021 Q4 92.4M $5.51B +$57.9M $59.64 329
2021 Q3 91M $6.18B +$126M $67.97 329
2021 Q2 89.1M $6.37B -$58.6M $71.55 351
2021 Q1 89.9M $6.08B -$27.3M $67.51 362
2020 Q4 90.3M $6.26B -$243M $69.33 374
2020 Q3 94.2M $5.94B -$175M $63.06 349
2020 Q2 97M $5.43B -$33.4M $55.98 353
2020 Q1 97.9M $4.75B -$330M $48.58 346
2019 Q4 104M $6.63B -$349M $63.81 378
2019 Q3 108M $5.51B +$138M $50.93 343
2019 Q2 106M $5.04B +$329M $47.75 352
2019 Q1 99.2M $5.4B +$482M $54.42 381
2018 Q4 91.6M $3.36B +$4.27M $36.69 364
2018 Q3 88.7M $5.2B +$356M $58.68 478
2018 Q2 82.5M $5.38B -$138M $65.29 496
2018 Q1 84.6M $4.95B +$206M $58.53 491
2017 Q4 80.8M $5.49B -$99M $67.99 512
2017 Q3 81.9M $5.86B +$44.7M $71.62 535
2017 Q2 80.3M $6.13B -$173M $76.32 538
2017 Q1 82.4M $6.83B +$334M $82.89 556
2016 Q4 82.9M $6.38B +$4.77M $77.04 547
2016 Q3 80.4M $6.44B -$40.4M $80.14 543
2016 Q2 78.4M $8.16B -$480M $104.12 616
2016 Q1 80.9M $10.2B +$493M $126.19 613
2015 Q4 76.7M $9.25B -$93.7M $120.60 623
2015 Q3 78M $10.9B +$389M $139.31 610
2015 Q2 74.8M $10B -$256M $133.91 594
2015 Q1 76.7M $10.8B +$117M $140.43 595
2014 Q4 76.1M $9.98B +$344M $131.08 565
2014 Q3 74.3M $8.66B +$48.6M $116.56 537
2014 Q2 73.9M $8.75B -$87.7M $118.42 546
2014 Q1 74.8M $8.5B +$17.8M $113.62 542