SWITCH INC - CL A (SWCH)

Historical Portfolio Holders from Q4 2017 to Q1 2023

All holders as of March 31, 2023
Q1 2023
Type / Class
Equity / CL A
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2023 Q1 0 $0 -$3.6M 0
2022 Q4 101K $119K -$5.23B $13.22 3
2022 Q3 156M $5.24B +$508M $33.69 277
2022 Q2 140M $4.71B +$478M $33.50 312
2022 Q1 128M $3.93B +$125M $30.82 274
2021 Q4 124M $3.54B +$111M $28.64 231
2021 Q3 120M $3.04B +$187M $25.39 214
2021 Q2 113M $2.38B +$407M $21.11 190
2021 Q1 96.7M $1.57B +$170M $16.26 178
2020 Q4 86.2M $1.41B +$8.65M $16.37 187
2020 Q3 85.4M $1.33B +$36.1M $15.61 193
2020 Q2 82.8M $1.48B +$162M $17.82 200
2020 Q1 74.5M $1.08B +$210M $14.43 171
2019 Q4 58.7M $870M -$8.79M $14.82 143
2019 Q3 58.3M $911M +$134M $15.62 130
2019 Q2 49.9M $654M -$1.31M $13.09 123
2019 Q1 50.4M $519M +$44.6M $10.31 120
2018 Q4 46.9M $328M -$17.4M $7.00 110
2018 Q3 47.7M $515M -$4.17M $10.80 102
2018 Q2 47.2M $575M +$125M $12.17 101
2018 Q1 36.7M $585M +$12.7M $15.91 96
2017 Q4 35.5M $647M +$645M $18.19 105