YY INC - ADS REPCOM CLA (YY) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2025

Type / Class
Equity / ADS REPCOM CLA
Symbol
YY on Nasdaq
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of YY INC - ADS REPCOM CLA (YY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q1 0 $0 -$156 0
2024 Q4 4 $156 $39.00 1
2021 Q4 0 $0 -$6,532,000 0
2021 Q3 6,508,000 $6,532,000 +$6,094,000 $27.84 2
2021 Q2 8,000 $527,000 -$5,436 $65.88 1
2021 Q1 8,058 $754,436 +$750 $93.67 2
2020 Q4 8,050 $642,999 -$83,979 $79.93 2
2020 Q3 9,100 $733,737 $80.65 2
2020 Q2 9,100 $805,405 -$11,954 $88.52 2
2020 Q1 9,235 $491,776 -$24,320,000 $53.26 2
2019 Q4 577,622 $31,112,195 -$2,330,769,100 $52.79 15
2019 Q3 42,049,388 $2,362,885,834 +$22,372,270 $56.23 214
2019 Q2 41,192,477 $2,867,790,115 +$187,521,998 $69.69 237
2019 Q1 38,765,149 $3,252,821,047 +$101,571,225 $84.01 246
2018 Q4 38,036,320 $2,272,942,365 +$25,508,600 $59.86 245
2018 Q3 36,768,457 $2,748,666,554 -$235,674,214 $74.92 246
2018 Q2 39,130,590 $3,926,162,367 +$419,015,674 $100.47 262
2018 Q1 34,890,670 $3,656,560,148 -$316,444,621 $105.20 261
2017 Q4 37,490,288 $4,227,218,908 +$242,184,107 $113.06 253
2017 Q3 35,941,089 $3,116,975,893 +$491,003,547 $86.78 221
2017 Q2 30,851,123 $1,790,133,628 +$281,178,426 $58.03 178
2017 Q1 26,278,498 $1,211,665,054 +$105,624,680 $46.11 174
2016 Q4 25,670,972 $1,011,217,845 +$20,035,245 $39.42 158
2016 Q3 23,686,588 $1,262,092,830 +$329,162,782 $53.28 165
2016 Q2 17,839,829 $604,253,701 -$23,225,052 $33.87 144
2016 Q1 17,678,532 $1,088,323,072 -$74,339,535 $61.59 145
2015 Q4 18,854,562 $1,177,784,811 +$79,363,154 $62.47 144
2015 Q3 18,045,712 $984,300,742 -$174,624,224 $54.54 114
2015 Q2 18,311,621 $1,273,055,096 +$206,421,311 $69.52 133
2015 Q1 15,916,674 $868,354,447 -$85,585,375 $54.55 117
2014 Q4 16,893,749 $1,053,926,637 -$45,276,281 $62.34 131
2014 Q3 15,223,106 $1,140,124,348 +$122,222,120 $74.89 140
2014 Q2 13,351,308 $1,006,119,749 -$964,247,006 $75.50 127
2014 Q1 25,854,766 $2,116,297,019 +$1,610,790,353 $76.36 119