Period | Shares, Excl. Options | Value, Excl. Options | Change | Price | Investors |
---|---|---|---|---|---|
2024 Q3 | 407M | $10.7B | +$23M | $26.23 | 413 |
2024 Q2 | 406M | $10.6B | -$8.67M | $26.15 | 409 |
2024 Q1 | 408M | $10.2B | -$317M | $25.11 | 385 |
2023 Q4 | 422M | $8.5B | -$327M | $20.14 | 355 |
2023 Q3 | 438M | $8.91B | +$145M | $20.34 | 335 |
2023 Q2 | 434M | $7.2B | +$298M | $16.62 | 294 |
2023 Q1 | 418M | $5.71B | -$126M | $13.65 | 291 |
2022 Q4 | 428M | $5.22B | +$31.2M | $12.19 | 288 |
2022 Q3 | 424M | $3.59B | -$56.8M | $8.46 | 237 |
2022 Q2 | 422M | $2.84B | +$66.9M | $6.73 | 238 |
2022 Q1 | 410M | $3.18B | +$303M | $7.75 | 259 |
2021 Q4 | 377M | $2.23B | -$74.2M | $5.92 | 239 |
2021 Q3 | 382M | $2.88B | +$71.7M | $7.53 | 230 |
2021 Q2 | 372M | $3.36B | +$116M | $9.05 | 240 |
2021 Q1 | 360M | $2.77B | +$89.3M | $7.72 | 237 |
2020 Q4 | 344M | $3.24B | -$74.5M | $9.40 | 298 |
2020 Q3 | 352M | $2.21B | +$38.2M | $6.31 | 277 |
2020 Q2 | 346M | $2.36B | -$22.3M | $6.84 | 296 |
2020 Q1 | 349M | $2.35B | -$208M | $6.74 | 296 |
2019 Q4 | 366M | $7.77B | +$23.1M | $21.44 | 317 |
2019 Q3 | 363M | $8.72B | -$262M | $24.14 | 347 |
2019 Q2 | 374M | $9.62B | +$512M | $25.94 | 332 |
2019 Q1 | 355M | $8.3B | +$195M | $23.52 | 331 |
2018 Q4 | 347M | $6.81B | +$168M | $19.58 | 321 |
2018 Q3 | 309M | $9.64B | +$36.9M | $31.25 | 347 |
2018 Q2 | 308M | $9.75B | +$426M | $31.74 | 343 |
2018 Q1 | 295M | $8.66B | -$373M | $29.45 | 333 |
2017 Q4 | 308M | $9.58B | -$143M | $31.31 | 336 |
2017 Q3 | 312M | $8.68B | -$27.6M | $27.92 | 323 |
2017 Q2 | 312M | $8.49B | +$174M | $27.20 | 313 |
2017 Q1 | 303M | $9.87B | +$9.54B | $32.50 | 324 |
2016 Q4 | 7.8M | $278M | +$278M | $35.53 | 15 |
2016 Q3 | 23.4K | $653K | -$338 | $28.19 | 3 |
2016 Q2 | 706 | $18.5K | -$2.71K | $26.44 | 2 |
2016 Q1 | 844 | $21.5K | $0 | $26.65 | 3 |
2015 Q4 | 713 | $20K | $0 | $28.05 | 1 |