Paramount Global - CLASS B COM (PARA)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / CLASS B COM
Shares, excl. options Q3 2024
472M
Holdings value Q3 2024
$5.01B
Value change Q3 2024
+$365M
Grand Portfolio weight change Q3 2024
+0.001%
Number of holders
630
Number of buys Q3 2024
285
Number of sells Q3 2024
-320
Average buys Q3 2024 %
+0.008%
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 472M $5.01B +$365M $10.62 638
2024 Q2 445M $4.62B -$192M $10.39 678
2024 Q1 459M $5.41B -$214M $11.77 699
2023 Q4 473M $7B -$131M $14.79 721
2023 Q3 478M $6.17B +$68.9M $12.90 687
2023 Q2 468M $7.44B -$641M $15.91 719
2023 Q1 506M $11.3B +$658M $22.31 766
2022 Q4 478M $8.08B -$35.7M $16.88 770
2022 Q3 481M $9.16B +$151M $19.04 750
2022 Q2 472M $11.6B -$13.7M $24.68 835
2022 Q1 474M $17.9B +$2.59B $37.81 904
2021 Q4 410M $12.4B -$139M $30.18 915
2021 Q3 410M $16.2B -$283M $39.51 971
2021 Q2 416M $18.8B -$4.04B $45.20 996
2021 Q1 505M $22.8B -$503M $45.10 949
2020 Q4 521M $19.4B +$621M $37.26 829
2020 Q3 503M $14.1B +$1.49B $28.01 748
2020 Q2 450M $10.5B +$596M $23.32 700
2020 Q1 431M $6.05B -$991M $14.01 676
2019 Q4 453M $19B +$18.9B $41.97 821
2019 Q3 118K $5.32M -$26K $40.37 4
2019 Q2 119K $5.38M +$3.74K $49.90 4
2019 Q1 119K $5.37M $0 $47.53 4
2018 Q4 4.3K $188K -$31.8K $43.72 3
2018 Q3 5.03K $289K -$483K $57.45 3
2018 Q2 13.4K $755K +$5.62K $56.22 3
2018 Q1 13.3K $685K +$10.3K $51.39 3
2017 Q4 13.1K $775K +$159K $59.00 3
2017 Q3 10.4K $605K $0 $58.00 3
2017 Q2 10.4K $666K +$6.38K $63.78 3
2017 Q1 10.3K $717K $0 $69.36 3
2016 Q4 10.3K $658K +$146K $63.62 3
2016 Q3 7.71K $422K +$224K $54.74 2
2016 Q2 3.62K $197K $0 $54.44 2
2016 Q1 3.62K $200K $0 $55.09 2