VNET Group, Inc. - SPONSORED ADS A (VNET)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / SPONSORED ADS A
Shares, excl. options Q2 2024
73M
Holdings value Q2 2024
$153M
Value change Q2 2024
+$2M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
74
Number of buys Q2 2024
27
Number of sells Q2 2024
-37
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 64.2K $262K +$262K $4.08 1
2024 Q2 73M $153M +$2M $2.10 75
2024 Q1 70.8M $112M -$5.11M $1.55 79
2023 Q4 71.7M $206M -$11.4M $2.87 82
2023 Q3 74.8M $232M -$20.7M $3.13 81
2023 Q2 83.4M $242M -$22.2M $2.90 87
2023 Q1 91.2M $295M -$36.7M $3.24 95
2022 Q4 92.5M $524M +$4.63M $5.67 105
2022 Q3 91.8M $505M +$30.5M $5.50 103
2022 Q2 86M $519M -$52.1M $6.04 104
2022 Q1 95.4M $556M -$20.4M $5.83 108
2021 Q4 94.8M $856M -$101M $9.03 137
2021 Q3 97.8M $1.69B -$19.5M $17.31 136
2021 Q2 95M $2.18B -$234M $22.95 161
2021 Q1 101M $3.26B +$780M $32.30 185
2020 Q4 76.1M $2.64B +$475M $34.69 162
2020 Q3 66.7M $1.54B +$264M $23.16 136
2020 Q2 51.3M $1.23B +$130M $23.86 124
2020 Q1 46M $640M -$754K $13.86 84
2019 Q4 46.8M $339M +$6.25M $7.25 66
2019 Q3 45.9M $350M +$4.14M $7.62 65
2019 Q2 45.3M $353M +$8.25M $7.79 73
2019 Q1 44.3M $351M +$17.3M $7.94 89
2018 Q4 42.1M $364M +$34.8M $8.64 86
2018 Q3 38M $384M +$31.5M $10.10 80
2018 Q2 34.9M $338M +$37.2M $9.70 64
2018 Q1 32.3M $224M +$14M $6.93 59
2017 Q4 28.6M $228M +$55M $7.98 60
2017 Q3 22M $125M -$1.14M $5.69 54
2017 Q2 22.2M $111M -$1.94M $5.02 51
2017 Q1 22.5M $123M +$4.95M $5.49 63
2016 Q4 24.3M $171M -$8.96M $7.01 58
2016 Q3 25.3M $201M -$56M $7.95 67
2016 Q2 31.4M $320M -$242M $10.21 64
2016 Q1 43M $856M +$2.95M $19.97 79
2015 Q4 43M $908M -$88.4M $21.14 82
2015 Q3 45.6M $833M +$17.6M $18.28 79
2015 Q2 44M $903M -$72.6M $20.52 79
2015 Q1 48.4M $854M +$112M $17.66 77
2014 Q4 42.3M $657M -$38.3M $15.47 76
2014 Q3 43.2M $778M -$169M $18.00 80
2014 Q2 44M $1.32B +$199M $29.97 93
2014 Q1 36.7M $1.05B +$19.5M $28.70 88