Wingstop Inc. - COM (WING)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
29.4M
Holdings value Q3 2024
$12.2B
Value change Q3 2024
-$255M
Grand Portfolio weight change Q3 2024
0%
Number of holders
476
Number of buys Q3 2024
251
Number of sells Q3 2024
-219
Average buys Q3 2024 %
+0.002%
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 29.4M $12.2B -$255M $416.08 480
2024 Q2 29.7M $12.6B -$1.9M $422.66 458
2024 Q1 29.7M $10.9B -$323M $366.40 415
2023 Q4 30.7M $7.87B +$47.1M $256.58 378
2023 Q3 30.7M $5.52B +$42.4M $179.84 328
2023 Q2 30.5M $6.11B -$356M $200.16 359
2023 Q1 32.3M $5.94B -$313M $183.58 343
2022 Q4 34.3M $4.72B -$4.57M $137.62 324
2022 Q3 34.4M $4.31B -$106M $125.42 290
2022 Q2 35.8M $2.68B +$202M $74.77 237
2022 Q1 32.7M $3.84B +$57M $117.35 267
2021 Q4 32.1M $5.55B -$37.8M $172.80 283
2021 Q3 32.2M $5.28B +$68.6M $163.93 279
2021 Q2 31.8M $5.01B +$19.3M $157.63 276
2021 Q1 31.8M $4.05B +$126M $127.17 280
2020 Q4 31.1M $4.13B +$27.8M $132.55 305
2020 Q3 30.9M $4.22B -$164M $136.65 306
2020 Q2 32M $4.45B -$174M $138.97 279
2020 Q1 33.8M $2.7B +$158M $79.70 227
2019 Q4 31.8M $2.74B -$8.18M $86.23 220
2019 Q3 31.2M $2.72B -$85.9M $87.28 232
2019 Q2 33M $3.12B +$85.9M $94.75 227
2019 Q1 32.9M $2.5B +$54.5M $76.03 225
2018 Q4 32.3M $2.07B -$81.3M $64.19 217
2018 Q3 33.1M $2.26B -$85.8M $68.27 207
2018 Q2 34.6M $1.8B -$31.8M $52.12 201
2018 Q1 35.4M $1.67B +$58M $47.23 177
2017 Q4 35.3M $1.38B -$159M $38.98 163
2017 Q3 39.7M $1.32B +$25.1M $33.25 140
2017 Q2 39M $1.2B +$80.6M $30.90 130
2017 Q1 36.4M $1.03B +$142M $28.28 118
2016 Q4 34.5M $1.02B +$294M $29.59 120
2016 Q3 24.6M $722M +$253M $29.30 89
2016 Q2 16.9M $461M +$32.3M $27.25 78
2016 Q1 16.1M $364M +$130M $22.68 76
2015 Q4 10.3M $236M +$41.2M $22.81 61
2015 Q3 8.05M $193M +$45.5M $23.98 65
2015 Q2 5.89M $167M +$167M $28.40 55