Verisk Analytics, Inc. - COM (VRSK)

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
125M
Holdings value Q3 2024
$33.6B
Value change Q3 2024
-$523M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
929
Number of buys Q3 2024
407
Number of sells Q3 2024
-426
Average buys Q3 2024 %
+0.002%
Average sells Q3 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 125M $33.6B -$523M $267.96 931
2024 Q2 127M $34.3B +$436M $269.55 928
2024 Q1 126M $29.7B -$666M $235.73 913
2023 Q4 128M $30.6B -$445M $238.86 884
2023 Q3 130M $30.8B -$519M $236.24 858
2023 Q2 133M $29.9B -$1B $226.03 851
2023 Q1 137M $26.3B -$415M $191.86 775
2022 Q4 140M $24.7B +$24.4M $176.42 767
2022 Q3 142M $24.2B -$677M $170.53 744
2022 Q2 142M $24.7B -$131M $173.09 745
2022 Q1 144M $30.9B -$195M $214.63 762
2021 Q4 145M $33.1B -$127M $228.73 810
2021 Q3 146M $29.1B +$542M $200.27 736
2021 Q2 143M $25B -$408M $174.72 732
2021 Q1 146M $25.8B -$78.8M $176.69 736
2020 Q4 146M $30.3B +$209M $207.59 763
2020 Q3 145M $26.9B -$18M $185.31 721
2020 Q2 145M $24.7B -$35.6M $170.20 691
2020 Q1 145M $20.3B -$136M $139.38 626
2019 Q4 146M $21.8B -$398M $149.34 661
2019 Q3 149M $23.6B -$242M $158.14 664
2019 Q2 151M $22.1B -$346M $146.46 641
2019 Q1 154M $20.5B +$394M $133.00 599
2018 Q4 152M $16.5B -$296M $109.04 592
2018 Q3 154M $18.6B +$140M $120.55 569
2018 Q2 153M $16.5B -$26.4M $107.64 537
2018 Q1 153M $15.9B +$86.2M $104.00 535
2017 Q4 152M $14.6B -$187M $96.00 517
2017 Q3 154M $12.8B -$15M $83.19 466
2017 Q2 155M $13.1B +$652M $84.37 474
2017 Q1 153M $12.4B +$671M $81.14 484
2016 Q4 154M $12.5B -$250M $81.17 502
2016 Q3 156M $12.7B +$128M $81.28 462
2016 Q2 155M $12.5B -$53.9M $81.08 459
2016 Q1 157M $12.5B -$591M $79.92 460
2015 Q4 165M $12.7B +$770M $76.88 458
2015 Q3 155M $11.4B +$128M $73.91 420
2015 Q2 146M $10.7B +$192M $72.76 413
2015 Q1 145M $10.4B -$113M $71.40 385
2014 Q4 147M $9.42B +$46.8M $64.05 348
2014 Q3 147M $8.94B -$78.9M $60.89 341
2014 Q2 148M $8.9B -$3.15M $60.02 339
2014 Q1 148M $8.84B -$133M $59.96 323