Trade Desk, Inc. - COM CL A (TTD)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM CL A
Shares, excl. options Q3 2024
342M
Holdings value Q3 2024
$37.5B
Value change Q3 2024
+$92.6M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
1016
Number of buys Q3 2024
495
Number of sells Q3 2024
-437
Average buys Q3 2024 %
+0.003%
Average sells Q3 2024 %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 342M $37.5B +$92.6M $109.65 1,028
2024 Q2 341M $33.3B +$1.41B $97.67 1,004
2024 Q1 326M $28.5B -$615M $87.42 946
2023 Q4 334M $24.1B +$371M $71.96 902
2023 Q3 328M $25.6B -$743M $78.15 881
2023 Q2 336M $25.9B +$64.5M $77.22 834
2023 Q1 337M $20.5B +$201M $60.91 746
2022 Q4 335M $15B +$143M $44.83 709
2022 Q3 331M $19.8B -$647M $59.75 716
2022 Q2 329M $13.8B +$352M $41.89 659
2022 Q1 319M $22.1B +$915M $69.25 739
2021 Q4 308M $28.2B +$1.5B $91.64 838
2021 Q3 291M $20.4B +$170M $70.30 727
2021 Q2 288M $22.3B +$19.7B $77.36 723
2021 Q1 29.3M $19.1B +$102M $651.66 713
2020 Q4 29M $23.2B -$1.98B $801.00 737
2020 Q3 31.5M $16.3B -$1.15B $518.78 579
2020 Q2 33.8M $13.7B +$894M $406.50 540
2020 Q1 31.9M $6.15B +$158M $193.00 405
2019 Q4 30.6M $7.95B +$205M $259.78 396
2019 Q3 30M $5.62B -$20.6M $187.55 353
2019 Q2 29.8M $6.79B +$95.5M $227.78 370
2019 Q1 30.3M $5.99B -$215M $197.95 339
2018 Q4 31.6M $3.67B +$256M $116.06 291
2018 Q3 29.2M $4.41B -$201M $150.91 280
2018 Q2 30.8M $2.88B +$103M $93.80 233
2018 Q1 30.9M $1.53B +$37.4M $49.62 181
2017 Q4 30.3M $1.39B +$126M $45.73 172
2017 Q3 26.9M $1.65B +$89.9M $61.51 160
2017 Q2 25.5M $1.28B +$263M $50.11 140
2017 Q1 20.8M $774M +$461M $37.25 92
2016 Q4 8.74M $242M +$33.4M $27.67 66
2016 Q3 3.09M $89.3M +$89.3M $29.21 41
2016 Q2 0 $0 -$97K 0
2016 Q1 481 $97K $0 $201.66 1