VERINT SYSTEMS INC - COM (VRNT)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
61.8M
Holdings value Q2 2024
$1.99B
Value change Q2 2024
+$71.5M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
232
Number of buys Q2 2024
129
Number of sells Q2 2024
-101
Average buys Q2 2024 %
+0.001%
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 40.3K $1.02M +$31.9K $25.33 4
2024 Q2 61.8M $1.99B +$71.5M $32.20 233
2024 Q1 60.3M $2B +$40.3M $33.15 225
2023 Q4 59.7M $1.61B -$22.7M $27.03 233
2023 Q3 60.7M $1.4B -$114M $22.99 209
2023 Q2 65.1M $2.28B +$15.1M $35.06 209
2023 Q1 65M $2.42B -$23.2M $37.24 215
2022 Q4 65.6M $2.38B -$18.3M $36.28 225
2022 Q3 66.1M $2.22B +$1.3M $33.58 209
2022 Q2 65.8M $2.79B +$56.1M $42.35 224
2022 Q1 64.7M $3.34B -$140M $51.70 226
2021 Q4 67.5M $3.54B +$72.9M $52.51 228
2021 Q3 66.1M $2.96B +$29.3M $44.79 220
2021 Q2 66.4M $2.99B -$22M $45.07 235
2021 Q1 68M $3.09B +$168M $45.49 231
2020 Q4 63.6M $4.26B +$106M $67.18 237
2020 Q3 62.4M $3B -$13.2M $48.18 227
2020 Q2 62.8M $2.83B +$23.1M $45.18 227
2020 Q1 61.7M $2.65B -$137M $43.00 222
2019 Q4 61.7M $3.41B +$14.8M $55.36 235
2019 Q3 65.5M $2.8B -$58.4M $42.78 255
2019 Q2 65.8M $3.54B +$144M $53.78 289
2019 Q1 63.7M $3.82B +$88.5M $59.86 272
2018 Q4 62.1M $2.63B -$40M $42.31 253
2018 Q3 63M $3.16B +$31.7M $50.10 229
2018 Q2 62.2M $2.76B +$40M $44.35 212
2018 Q1 61.6M $2.62B +$30.5M $42.60 230
2017 Q4 61M $2.55B +$16.2M $41.85 225
2017 Q3 60.5M $2.54B +$20.5M $41.85 227
2017 Q2 60.4M $2.46B -$15.5M $40.70 213
2017 Q1 60M $2.61B +$224M $43.38 217
2016 Q4 59.8M $2.11B +$10.5M $35.25 190
2016 Q3 59.5M $2.24B +$45.8M $37.63 197
2016 Q2 59.8M $1.98B -$32.5M $33.13 205
2016 Q1 61.5M $2.06B +$3.32M $33.38 209
2015 Q4 61M $2.47B -$27.4M $40.56 210
2015 Q3 59.8M $2.58B -$8.92M $43.15 239
2015 Q2 58.3M $3.54B -$42.1M $60.74 240
2015 Q1 59.2M $3.66B -$34.8M $61.93 246
2014 Q4 59.8M $3.49B -$40.5M $58.28 252
2014 Q3 60.6M $3.37B +$111M $55.61 225
2014 Q2 58.7M $2.88B +$356M $49.05 226
2014 Q1 51.4M $2.41B +$60.6M $46.93 193