EXPERIAN ORD USD0.10 - COMMON

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COMMON
Shares, excl. options Q3 2024
1.29M
Holdings value Q3 2024
$68M
Value change Q3 2024
-$692K
Grand Portfolio weight change Q3 2024
0%
Number of holders
2
Number of buys Q3 2024
1
Number of sells Q3 2024
-2
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 1.29M $68M -$692K $52.73 2
2024 Q2 1.3M $60.7M -$1.1M $46.61 2
2024 Q1 1.33M $57.8M -$556K $43.60 2
2023 Q4 1.34M $54.6M -$366K $40.76 2
2023 Q3 1.35M $44.3M +$24.7K $32.83 2
2023 Q2 1.35M $51.7M +$3.01M $38.34 2
2023 Q1 1.27M $41.6M -$577K $32.82 2
2022 Q4 1.29M $43.7M +$5.39M $33.99 2
2022 Q3 1.13M $35M +$1.45M $30.41 2
2022 Q2 1.08M $32.5M -$9.6M $27.22 2
2022 Q1 1.75M $67.9M -$22.9M $38.77 1
2021 Q4 2.34M $115M -$5.72M $49.15 1
2021 Q3 2.46M $103M -$237K $41.89 1
2021 Q2 2.46M $94.7M -$25M $38.45 1
2021 Q1 3.11M $107M -$2.66M $34.42 1
2020 Q4 3.19M $121M +$64.7K $37.96 1
2020 Q3 3.19M $120M +$12.6M $37.89 2
2020 Q2 2.85M $99.8M -$19.3M $34.96 1
2020 Q1 3.41M $95.2M +$511K $27.96 1
2019 Q4 3.39M $115M -$2.11M $33.83 1
2019 Q3 3.45M $110M -$581K $32.00 2
2019 Q2 3.47M $105M +$13.3K $30.27 2
2019 Q1 3.47M $94.1M -$1.91M $27.09 2
2018 Q4 3.54M $86M -$208K $24.22 2
2018 Q3 3.55M $91.2M -$477K $25.76 2
2018 Q2 3.57M $88.3M +$91.7K $24.76 2
2018 Q1 3.56M $76.8M +$95.5K $21.56 2
2017 Q4 3.56M $78.7M -$25M $22.11 2
2017 Q3 4.69M $94.2M +$220K $20.08 2
2017 Q2 4.68M $96M -$11M $20.51 2
2017 Q1 5.22M $106M -$5.34M $20.35 2
2016 Q4 5.48M $107M -$3.35M $19.50 2
2016 Q3 5.65M $113M +$110M $20.04 2
2016 Q2 182K $3.43M +$47.2K $18.80 1
2016 Q1 180K $3.21M +$48.6K $17.88 1
2015 Q4 177K $3.13M -$730K $17.69 1
2015 Q3 218K $3.5M +$924K $16.01 1
2015 Q2 161K $2.9M $0 $18.05 1
2014 Q4 0 $0 -$2.64M 0
2014 Q3 168K $2.64M +$98.1K $15.72 1
2014 Q2 162K $2.71M +$54.4K $16.75 1
2014 Q1 158K $2.86M +$2.85M $18.02 1