GARMIN LTD - SHS (GRMN)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / SHS
Shares, excl. options Q3 2024
106M
Holdings value Q3 2024
$18.6B
Value change Q3 2024
-$3.8M
Grand Portfolio weight change Q3 2024
0%
Number of holders
785
Number of buys Q3 2024
365
Number of sells Q3 2024
-354
Average buys Q3 2024 %
+0.003%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 106M $18.6B -$3.8M $176.03 795
2024 Q2 105M $17.2B +$166M $162.92 806
2024 Q1 104M $15.5B +$285M $148.87 741
2023 Q4 103M $13.2B +$13.8M $128.54 723
2023 Q3 102M $10.8B +$77.8M $105.20 652
2023 Q2 102M $10.7B -$34.7M $104.29 655
2023 Q1 103M $10.3B +$246M $100.92 629
2022 Q4 100M $9.26B -$374M $92.29 615
2022 Q3 104M $8.34B +$108M $80.31 574
2022 Q2 102M $10B +$77.7M $98.25 636
2022 Q1 101M $12B +$117M $118.61 646
2021 Q4 100M $13.7B -$160M $136.17 693
2021 Q3 101M $15.7B -$94.2M $155.46 676
2021 Q2 102M $14.7B +$213M $144.64 647
2021 Q1 101M $13.3B +$394M $131.85 624
2020 Q4 98.1M $11.7B +$252M $119.66 592
2020 Q3 96.3M $9.13B +$173M $94.86 548
2020 Q2 94.2M $9.18B +$402M $97.50 510
2020 Q1 90.4M $6.78B -$113M $74.96 492
2019 Q4 91.3M $8.9B -$50.8M $97.56 529
2019 Q3 91.3M $7.73B +$564M $84.69 494
2019 Q2 84.7M $6.76B -$57M $79.80 497
2019 Q1 85.5M $7.38B +$78.2M $86.35 503
2018 Q4 85.3M $5.39B -$16.8M $63.32 474
2018 Q3 85.2M $5.96B +$512M $70.05 450
2018 Q2 78M $4.75B +$39.7M $61.00 433
2018 Q1 77.5M $4.56B -$20.9M $58.93 420
2017 Q4 79.6M $4.74B -$95.7M $59.57 421
2017 Q3 79.8M $4.31B +$249M $53.97 389
2017 Q2 75.4M $3.85B +$39M $51.03 372
2017 Q1 76.9M $3.93B +$658M $51.11 385
2016 Q4 75.5M $3.66B +$78.6M $48.49 380
2016 Q3 72.7M $3.49B +$240M $48.11 356
2016 Q2 67.7M $2.87B -$109M $42.42 323
2016 Q1 71M $2.84B -$45.9M $39.96 323
2015 Q4 72.4M $2.69B +$87.5M $37.17 309
2015 Q3 68.9M $2.47B -$295M $35.88 289
2015 Q2 76.8M $3.38B -$133M $43.93 326
2015 Q1 79.5M $3.78B -$131M $47.52 334
2014 Q4 81.4M $4.3B +$159M $52.83 356
2014 Q3 78M $4.06B +$2.2M $51.99 335
2014 Q2 77.6M $4.72B +$11.2M $60.90 333
2014 Q1 77.9M $4.31B -$13M $55.26 321