VISHAY INTERTECHNOLOGY INC - COM (VSH)

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
119M
Holdings value Q3 2024
$2.25B
Value change Q3 2024
-$277M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
285
Number of buys Q3 2024
141
Number of sells Q3 2024
-137
Average buys Q3 2024 %
+0.001%
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 119M $2.25B -$277M $18.91 287
2024 Q2 132M $2.94B +$256M $22.30 269
2024 Q1 120M $2.72B -$204M $22.68 286
2023 Q4 128M $3.08B +$288M $23.97 311
2023 Q3 116M $2.88B -$212M $24.72 303
2023 Q2 123M $3.61B +$63.2M $29.40 308
2023 Q1 121M $2.74B +$26.7M $22.62 280
2022 Q4 120M $2.6B -$20.4M $21.57 298
2022 Q3 121M $2.16B -$14M $17.79 263
2022 Q2 122M $2.17B -$43.8M $17.82 268
2022 Q1 121M $2.37B -$30.2M $19.60 264
2021 Q4 122M $2.67B -$29.1M $21.87 268
2021 Q3 123M $2.47B -$33.6M $20.09 257
2021 Q2 125M $2.82B +$51.8M $22.55 266
2021 Q1 122M $2.95B +$4.05M $24.08 264
2020 Q4 122M $2.54B +$28.9M $20.71 252
2020 Q3 122M $1.9B -$29.3M $15.57 245
2020 Q2 124M $1.89B -$9.49M $15.27 236
2020 Q1 125M $1.79B -$80.9M $14.41 227
2019 Q4 130M $2.76B +$68.6M $21.29 237
2019 Q3 127M $2.14B -$9.9M $16.93 242
2019 Q2 127M $2.1B -$37.8M $16.52 253
2019 Q1 131M $2.41B +$10.8M $18.47 273
2018 Q4 130M $2.35B -$274M $18.01 257
2018 Q3 144M $2.93B +$25.2M $20.35 284
2018 Q2 142M $3.29B -$295M $23.20 271
2018 Q1 156M $2.9B -$79.7M $18.60 254
2017 Q4 162M $3.36B +$30.1M $20.75 281
2017 Q3 160M $3.02B +$29.1M $18.80 255
2017 Q2 159M $2.63B +$76.5M $16.60 252
2017 Q1 156M $2.57B +$224M $16.45 234
2016 Q4 152M $2.47B +$43.5M $16.20 249
2016 Q3 153M $2.15B +$17.6M $14.09 243
2016 Q2 152M $1.88B -$33.6M $12.39 236
2016 Q1 155M $1.89B -$38.3M $12.21 231
2015 Q4 157M $1.89B +$31.7M $12.05 220
2015 Q3 151M $1.47B +$41.6M $9.69 224
2015 Q2 152M $1.77B +$15.7M $11.68 226
2015 Q1 149M $2.06B +$12.1M $13.82 240
2014 Q4 148M $2.1B +$15.2M $14.15 250
2014 Q3 151M $2.15B +$56.2M $14.29 257
2014 Q2 147M $2.27B -$22.5M $15.49 246
2014 Q1 146M $2.18B +$8.03M $14.88 229