Sunrun Inc. - COM (RUN)

Historical Portfolio Holders from Q3 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
247M
Holdings value Q2 2024
$2.92B
Value change Q2 2024
+$157M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
403
Number of buys Q2 2024
195
Number of sells Q2 2024
-187
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 3.18M $57.4M +$351K $18.06 5
2024 Q2 247M $2.92B +$157M $11.86 417
2024 Q1 234M $3.08B +$237M $13.18 402
2023 Q4 212M $4.17B +$172M $19.63 390
2023 Q3 205M $2.57B -$1.44M $12.56 383
2023 Q2 201M $3.58B +$4.08M $17.86 389
2023 Q1 200M $4.04B +$189M $20.15 393
2022 Q4 190M $4.57B +$101M $24.02 434
2022 Q3 185M $5.11B -$131M $27.59 429
2022 Q2 190M $4.44B -$135M $23.36 386
2022 Q1 195M $5.92B -$175M $30.37 427
2021 Q4 199M $6.83B -$23.8M $34.30 427
2021 Q3 199M $8.75B +$243M $44.00 463
2021 Q2 193M $10.7B +$148M $55.78 469
2021 Q1 189M $11.4B +$275M $60.48 429
2020 Q4 184M $12.7B +$4.13B $69.38 396
2020 Q3 124M $9.53B +$1.01B $77.07 283
2020 Q2 112M $2.21B +$48.8M $19.72 203
2020 Q1 110M $1.11B +$88M $10.10 204
2019 Q4 102M $1.41B -$29M $13.81 191
2019 Q3 104M $1.73B +$77.5M $16.71 172
2019 Q2 98.4M $1.85B +$58.6M $18.76 178
2019 Q1 95.7M $1.35B -$16.3M $14.06 160
2018 Q4 97.5M $1.06B +$61.9M $10.89 167
2018 Q3 91.3M $1.14B +$14.3M $12.44 148
2018 Q2 90M $1.18B +$17M $13.15 136
2018 Q1 89.1M $795M +$46M $8.93 117
2017 Q4 86.9M $512M +$17.6M $5.90 117
2017 Q3 84M $466M +$15.2M $5.55 121
2017 Q2 79M $563M +$26.3M $7.12 112
2017 Q1 75.9M $410M +$30.1M $5.40 100
2016 Q4 76.7M $407M +$20.9M $5.31 100
2016 Q3 72.4M $456M +$21.9M $6.30 97
2016 Q2 68.9M $409M +$59.3M $5.93 99
2016 Q1 58.9M $382M -$16.2M $6.48 79
2015 Q4 57.5M $672M +$45.2M $11.77 82
2015 Q3 64.3M $659M +$659M $10.37 64