YUM BRANDS INC - COM (YUM)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
241M
Holdings value Q2 2024
$31.9B
Value change Q2 2024
+$710M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
1181
Number of buys Q2 2024
290
Number of sells Q2 2024
-309
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 49.7M $6.94B +$907M $139.71 693
2024 Q2 241M $31.9B +$710M $132.46 1,189
2024 Q1 236M $32.7B +$715M $138.65 1,217
2023 Q4 231M $30.2B +$1.1B $130.66 1,193
2023 Q3 223M $27.8B -$676M $124.94 1,113
2023 Q2 227M $31.5B +$978M $138.55 1,154
2023 Q1 220M $29B +$176M $132.08 1,156
2022 Q4 219M $28.1B -$215M $128.08 1,153
2022 Q3 221M $23.5B -$2B $106.34 1,052
2022 Q2 221M $25B +$163M $113.51 1,074
2022 Q1 221M $26.3B -$867M $118.53 1,128
2021 Q4 228M $31.7B -$738M $138.86 1,159
2021 Q3 233M $28.5B -$141M $122.31 1,078
2021 Q2 234M $26.9B +$122M $115.03 1,073
2021 Q1 233M $25.2B -$29.8M $108.18 1,047
2020 Q4 233M $25.2B +$382M $108.56 1,047
2020 Q3 231M $21.1B +$121M $91.30 960
2020 Q2 229M $19.9B +$163M $86.91 961
2020 Q1 228M $15.6B -$105M $68.53 908
2019 Q4 229M $23B -$255M $100.73 1,043
2019 Q3 231M $26.1B -$93.2M $113.43 1,038
2019 Q2 232M $25.6B +$97.6M $110.67 1,025
2019 Q1 232M $23.2B +$338M $99.81 1,026
2018 Q4 229M $21B +$393M $91.92 992
2018 Q3 225M $20.4B -$506M $90.91 938
2018 Q2 231M $18B -$960M $78.22 909
2018 Q1 243M $20.7B -$521M $85.13 908
2017 Q4 250M $20.4B -$335M $81.61 908
2017 Q3 252M $18.5B -$2.53M $73.61 843
2017 Q2 252M $18.6B -$323M $73.76 848
2017 Q1 259M $16.6B +$978M $63.90 839
2016 Q4 263M $16.7B -$1.14B $63.33 821
2016 Q3 275M $24.9B -$2.2B $90.81 861
2016 Q2 301M $25B -$956M $82.92 862
2016 Q1 312M $25.5B -$1.13B $81.85 847
2015 Q4 327M $23.9B -$875M $73.05 859
2015 Q3 327M $26.1B +$448M $79.95 843
2015 Q2 332M $29.8B +$334M $90.08 867
2015 Q1 329M $25.9B -$72.1M $78.72 816
2014 Q4 331M $24.1B +$576M $72.85 824
2014 Q3 320M $23B -$1.11B $71.98 786
2014 Q2 335M $27.2B -$223M $81.20 802
2014 Q1 338M $25.5B -$447M $75.39 787