Period | Shares, Excl. Options | Value, Excl. Options | Change | Price | Investors |
---|---|---|---|---|---|
2024 Q3 | 472M | $5.01B | +$365M | $10.62 | 647 |
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 |