Vista Outdoor Inc. - COM (VSTO)

Historical Portfolio Holders from Q1 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
52.1M
Holdings value Q2 2024
$1.96B
Value change Q2 2024
+$53.2M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
273
Number of buys Q2 2024
124
Number of sells Q2 2024
-118
Average buys Q2 2024 %
+0.01%
Average sells Q2 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 55.6K $2.18M +$891K $39.18 3
2024 Q2 52.1M $1.96B +$53.2M $37.65 276
2024 Q1 50.7M $1.66B +$26.2M $32.78 257
2023 Q4 49.7M $1.47B +$46.2M $29.57 245
2023 Q3 47.8M $1.58B +$13M $33.12 254
2023 Q2 47.5M $1.31B -$2.57M $27.67 249
2023 Q1 47.4M $1.31B -$10.6M $27.71 255
2022 Q4 48.9M $1.19B +$21.5M $24.37 272
2022 Q3 48.4M $1.18B -$20M $24.32 265
2022 Q2 48.7M $1.36B +$95.4M $27.90 293
2022 Q1 45.4M $1.62B -$46.9M $35.69 298
2021 Q4 46.5M $2.14B -$7.52M $46.07 328
2021 Q3 46.6M $1.88B +$9.51M $40.31 299
2021 Q2 46.3M $2.14B -$117M $46.28 285
2021 Q1 49.2M $1.58B -$99.8M $32.07 254
2020 Q4 52.8M $1.26B -$7.08M $23.76 225
2020 Q3 53.3M $1.08B +$27.5M $20.18 211
2020 Q2 52.1M $753M +$3.07M $14.45 185
2020 Q1 53.9M $475M -$8.47M $8.80 166
2019 Q4 55M $411M +$5.61M $7.48 152
2019 Q3 54.8M $339M -$2.76M $6.19 135
2019 Q2 54.9M $487M +$3.95M $8.88 152
2019 Q1 55M $441M -$10.4M $8.01 156
2018 Q4 55.7M $632M -$14.3M $11.35 165
2018 Q3 56.6M $1.01B -$789K $17.89 170
2018 Q2 56.8M $880M -$109M $15.49 172
2018 Q1 63.7M $1.04B +$40.5M $16.32 183
2017 Q4 61.8M $900M -$81M $14.57 181
2017 Q3 64.1M $1.47B +$40M $22.94 172
2017 Q2 61.6M $1.39B +$90.1M $22.51 171
2017 Q1 58.5M $1.2B -$65.1M $20.59 193
2016 Q4 56.6M $2.09B +$104M $36.90 255
2016 Q3 53.7M $2.14B -$26.5M $39.86 237
2016 Q2 53.6M $2.56B +$16.3M $47.73 257
2016 Q1 53.7M $2.79B -$32.3M $51.91 244
2015 Q4 54.9M $2.44B -$83.8M $44.51 228
2015 Q3 56.5M $2.51B +$41.8M $44.43 219
2015 Q2 55.9M $2.51B +$46.6M $44.90 215
2015 Q1 55M $2.36B +$2.35B $42.82 199