VIASAT INC - COM (VSAT)

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
111M
Holdings value Q3 2024
$1.32B
Value change Q3 2024
-$61.3M
Grand Portfolio weight change Q3 2024
0%
Number of holders
213
Number of buys Q3 2024
123
Number of sells Q3 2024
-90
Average buys Q3 2024 %
+0%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 111M $1.32B -$61.3M $11.94 218
2024 Q2 114M $1.45B +$79.3M $12.70 207
2024 Q1 106M $1.92B -$13.5M $18.09 208
2023 Q4 107M $2.99B +$32.1M $27.95 212
2023 Q3 106M $1.96B +$26.1M $18.46 207
2023 Q2 102M $4.21B +$1.38B $41.26 207
2023 Q1 68.6M $2.32B +$199M $33.84 202
2022 Q4 62.8M $1.99B -$1.89M $31.65 210
2022 Q3 62.8M $1.9B +$34.9M $30.23 195
2022 Q2 61.7M $1.89B +$7.64M $30.63 196
2022 Q1 61.1M $2.98B -$36.2M $48.80 215
2021 Q4 61.9M $2.76B -$143M $44.54 219
2021 Q3 64.7M $3.56B +$84.7M $55.07 223
2021 Q2 63.2M $3.15B +$126M $49.84 222
2021 Q1 60.7M $2.92B -$28.9M $48.07 226
2020 Q4 61.4M $2B +$175M $32.65 190
2020 Q3 56.8M $1.95B +$57.3M $34.39 206
2020 Q2 54.7M $2.1B -$20.2M $38.37 198
2020 Q1 55.3M $1.99B +$33.1M $35.92 196
2019 Q4 53.9M $3.94B -$3.39K $73.19 221
2019 Q3 53.8M $4.06B -$162M $75.32 216
2019 Q2 55.9M $4.52B -$232M $80.82 246
2019 Q1 59.1M $4.58B -$181M $77.50 204
2018 Q4 61.6M $3.63B -$92.7M $58.95 187
2018 Q3 63.1M $4.04B +$39.8M $63.95 189
2018 Q2 62.5M $4.11B -$48.1M $65.72 189
2018 Q1 63.3M $4.16B +$7.78M $65.72 196
2017 Q4 63.1M $4.72B +$200M $74.85 201
2017 Q3 60.4M $3.88B +$145M $64.32 180
2017 Q2 58.1M $3.85B +$206M $66.20 191
2017 Q1 55M $3.51B +$446M $63.82 190
2016 Q4 53.1M $3.52B +$424M $66.22 194
2016 Q3 46.4M $3.46B -$54M $74.65 163
2016 Q2 47.1M $3.36B +$30.6M $71.40 151
2016 Q1 46.1M $3.39B +$12.2M $73.48 147
2015 Q4 46.3M $2.82B +$72.1M $61.01 137
2015 Q3 44.9M $2.89B +$146M $64.29 141
2015 Q2 42.5M $2.56B +$27.3M $60.26 137
2015 Q1 42.2M $2.52B +$42.2M $59.61 145
2014 Q4 41.5M $2.61B -$101M $63.03 147
2014 Q3 43.1M $2.38B +$157M $55.12 130
2014 Q2 40.2M $2.33B +$62.2M $57.96 141
2014 Q1 39M $2.7B +$74.4M $69.04 141