Xerox Holdings Corp - COM (XRX)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
14.8K
Holdings value Q2 2024
$171K
Value change Q2 2024
$0
Grand Portfolio weight change Q2 2024
0%
Number of holders
1
Number of buys Q2 2024
0
Number of sells Q2 2024
0
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 14.8K $171K $0 $11.57 1
2024 Q1 14.8K $264K $0 $17.86 1
2023 Q4 14.8K $270K +$9.13K $18.26 1
2023 Q3 14.3K $224K -$6.67K $15.68 1
2023 Q2 14.7K $219K $0 $14.89 1
2023 Q1 14.7K $226K -$3.84K $15.37 1
2022 Q4 15K $218K -$5.83K $14.57 1
2022 Q3 15.4K $200K -$6.51K $13.02 1
2022 Q2 15.9K $324K $0 $20.43 1
2022 Q1 15.9K $319K +$5.03K $20.12 1
2021 Q4 15.6K $353K -$4.52K $22.62 1
2021 Q3 15.8K $318K -$12.6K $20.12 1
2021 Q2 16.4K $386K -$440K $23.49 1
2021 Q1 34.6K $838K -$324K $24.22 3
2020 Q4 47.9K $1.11M +$205K $23.15 3
2020 Q3 39.1K $733K -$242K $18.79 3
2020 Q2 51.9K $793K -$309K $15.28 3
2020 Q1 67.8K $1.29M -$5.5M $18.96 5
2019 Q4 358K $13.2M +$11.1M $36.87 5
2019 Q3 56.9K $1.7M -$3.4M $29.91 4
2019 Q2 155K $5.49M +$3.1M $35.41 6
2019 Q1 68K $2.17M -$967K $31.96 6
2018 Q4 121K $2.39M -$882K $19.72 5
2018 Q3 140K $3.78M -$198K $26.94 9
2018 Q2 148K $3.57M -$7.05M $24.02 11
2018 Q1 439K $12.6M -$30.6M $28.76 14
2017 Q4 1.49M $43.3M -$825M $29.15 16
2017 Q3 26.2M $873M -$17.7M $33.29 22
2017 Q2 26.5M $762M -$7.52B $28.73 27
2017 Q1 826M $6.07B +$351M $7.34 509
2016 Q4 814M $7.08B -$182M $8.73 515
2016 Q3 847M $8.57B -$38.9M $10.13 519
2016 Q2 850M $8.07B -$71.9M $9.49 497
2016 Q1 857M $9.56B +$90.6M $11.16 487
2015 Q4 851M $9.04B +$195M $10.63 494
2015 Q3 833M $8.1B -$456M $9.73 505
2015 Q2 887M $9.44B -$428M $10.64 532
2015 Q1 922M $11.8B -$43.5M $12.85 545
2014 Q4 925M $12.8B -$165M $13.86 565
2014 Q3 937M $12.4B +$14.5M $13.23 554
2014 Q2 937M $11.7B -$107M $12.44 544
2014 Q1 947M $10.7B -$273M $11.30 537