Bausch Health - Common (VRX)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / Common
Shares, excl. options Q2 2024
550K
Holdings value Q2 2024
$3.83M
Value change Q2 2024
-$655K
Grand Portfolio weight change Q2 2024
0%
Number of holders
1
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
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 Q2 550K $3.83M -$655K $6.97 1
2024 Q1 644K $6.83M $0 $10.61 1
2023 Q4 644K $5.16M -$1.65M $8.02 1
2023 Q3 850K $6.99M -$623K $8.22 1
2023 Q2 926K $7.42M $0 $8.01 1
2023 Q1 926K $7.5M -$42.3K $8.10 1
2022 Q4 931K $5.85M $0 $6.28 1
2022 Q3 931K $6.41M -$3.1M $6.89 1
2022 Q2 1.38M $11.5M -$283K $8.35 1
2022 Q1 1.39M $31.8M -$8.32K $22.85 2
2021 Q4 1.39M $38.5M $0 $27.61 2
2021 Q3 1.39M $38.8M -$1.25M $27.85 2
2021 Q2 1.44M $42.2M -$29.3K $29.33 2
2021 Q1 1.44M $45.7M $0 $31.75 2
2020 Q4 1.44M $29.9M $0 $20.79 2
2020 Q3 1.44M $22.4M +$1.01M $15.53 2
2020 Q2 1.37M $25.1M +$914K $18.28 2
2020 Q1 1.32M $20.5M +$2.65M $15.51 2
2019 Q4 1.15M $34.5M +$4.49M $29.90 2
2019 Q3 1M $21.9M +$2.08M $21.87 2
2019 Q2 909K $22.9M -$1.89M $25.24 2
2019 Q1 984K $24.3M +$327K $24.70 2
2018 Q4 971K $17.9M +$764K $18.47 2
2018 Q3 931K $23.8M -$3.31B $25.65 3
2018 Q2 144M $3.34B -$301M $23.24 273
2018 Q1 166M $2.64B -$158M $15.92 308
2017 Q4 173M $3.61B +$82.2M $20.78 309
2017 Q3 168M $2.4B +$97.9M $14.33 272
2017 Q2 162M $2.8B +$18.1M $17.30 293
2017 Q1 170M $1.88B -$373M $11.03 298
2016 Q4 194M $2.82B -$704M $14.52 278
2016 Q3 228M $5.58B +$150M $24.55 329
2016 Q2 221M $4.45B -$1.22B $20.14 322
2016 Q1 270M $7.12B -$4.68B $26.30 367
2015 Q4 303M $30.9B -$1.61B $101.65 430
2015 Q3 298M $53.2B +$1.4B $178.38 531
2015 Q2 290M $64.6B +$8.5M $222.15 578
2015 Q1 290M $57.6B +$1.41B $198.62 552
2014 Q4 285M $40.9B -$1.66B $143.11 491
2014 Q3 295M $38.8B -$715M $131.20 448
2014 Q2 301M $38B +$2.43B $126.12 471
2014 Q1 279M $36.9B +$580M $131.83 445