VERISIGN INC/CA - COM (VRSN)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
88.8M
Holdings value Q3 2024
$16.8B
Value change Q3 2024
-$178M
Grand Portfolio weight change Q3 2024
0%
Number of holders
654
Number of buys Q3 2024
302
Number of sells Q3 2024
-297
Average buys Q3 2024 %
+0.002%
Average sells Q3 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 88.8M $16.8B -$178M $189.96 656
2024 Q2 90.2M $16B -$120M $177.80 639
2024 Q1 90.8M $17.2B -$533M $189.51 617
2023 Q4 93.2M $19.2B +$265M $205.96 642
2023 Q3 91.9M $18.6B -$584M $202.53 579
2023 Q2 94.4M $21.3B -$188M $225.97 610
2023 Q1 95.6M $20.2B -$510M $211.33 594
2022 Q4 98.1M $20.2B +$181M $205.44 597
2022 Q3 97.3M $16.9B -$371M $173.70 548
2022 Q2 98.8M $16.5B -$76M $167.33 550
2022 Q1 100M $22.3B -$231M $222.46 586
2021 Q4 101M $25.6B +$31.3M $253.82 581
2021 Q3 101M $20.6B -$22.4M $205.01 543
2021 Q2 99.6M $22.7B -$53.6M $227.69 551
2021 Q1 101M $20B -$256M $198.76 536
2020 Q4 102M $22.1B -$181M $216.40 549
2020 Q3 103M $21B -$454M $204.85 560
2020 Q2 105M $21.7B -$377M $206.83 552
2020 Q1 107M $19.2B -$34.6M $180.09 534
2019 Q4 107M $20.6B -$251M $192.68 556
2019 Q3 108M $20.3B -$327M $188.63 528
2019 Q2 110M $22.9B -$111M $209.16 520
2019 Q1 110M $20B -$368M $181.56 522
2018 Q4 113M $16.6B -$49.2M $148.29 497
2018 Q3 113M $18B -$250M $160.12 493
2018 Q2 114M $15.7B -$52.8M $137.42 464
2018 Q1 115M $13.6B -$535M $118.56 488
2017 Q4 120M $13.7B -$144M $114.44 459
2017 Q3 121M $12.8B +$114M $106.39 411
2017 Q2 120M $11.2B -$295M $92.96 402
2017 Q1 124M $10.8B +$450M $87.11 391
2016 Q4 125M $9.51B -$324M $76.07 410
2016 Q3 129M $10.1B -$194M $78.24 396
2016 Q2 131M $11.3B -$44.3M $86.46 406
2016 Q1 132M $11.7B -$175M $88.54 414
2015 Q4 134M $11.7B +$443M $87.36 396
2015 Q3 129M $9.09B +$151M $70.56 365
2015 Q2 134M $7.84B -$469M $61.72 348
2015 Q1 134M $8.97B -$9.4M $66.97 360
2014 Q4 135M $7.67B -$153M $57.00 366
2014 Q3 137M $7.54B -$238M $55.12 354
2014 Q2 141M $6.9B -$543M $48.81 350
2014 Q1 151M $8.16B -$258M $53.91 348