ELBIT SYSTEMS LTD - ORD (ESLT)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / ORD
Shares, excl. options Q2 2024
7.22M
Holdings value Q2 2024
$1.27B
Value change Q2 2024
+$16.3M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
164
Number of buys Q2 2024
24
Number of sells Q2 2024
-13
Average buys Q2 2024 %
+0%
Average sells Q2 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 631K $126M +$23.4M $200.10 48
2024 Q2 7.22M $1.27B +$16.3M $176.63 164
2024 Q1 7.13M $1.5B -$161M $210.23 171
2023 Q4 7.89M $1.68B -$54.7M $213.25 164
2023 Q3 8.19M $1.62B -$1.46M $197.98 150
2023 Q2 8.18M $1.71B -$1.2M $208.96 149
2023 Q1 8.22M $1.4B +$63.4M $170.21 145
2022 Q4 7.86M $1.29B -$81.9M $164.04 142
2022 Q3 8.35M $1.6B +$407M $190.17 130
2022 Q2 6.19M $1.41B +$307M $229.32 142
2022 Q1 4.95M $1.09B +$2.27M $220.45 139
2021 Q4 4.98M $867M -$90.1M $174.12 121
2021 Q3 5.65M $821M +$52.3M $144.84 116
2021 Q2 5.3M $687M +$76.9M $129.75 109
2021 Q1 4.7M $669M +$306M $142.98 115
2020 Q4 2.6M $340M -$205M $130.82 116
2020 Q3 4.17M $504M +$37.2M $120.30 116
2020 Q2 3.87M $530M -$94.8M $137.03 116
2020 Q1 4.55M $586M +$8.97M $127.69 121
2019 Q4 4.4M $683M +$117M $155.06 121
2019 Q3 3.76M $619M +$37.4M $164.77 123
2019 Q2 3.54M $529M +$27.7M $149.50 120
2019 Q1 3.41M $440M +$3.24M $129.00 123
2018 Q4 3.32M $380M +$18.5M $114.02 124
2018 Q3 3.23M $406M -$40.9M $125.53 117
2018 Q2 3.48M $412M -$169M $118.74 116
2018 Q1 4.76M $578M -$20.3M $121.55 123
2017 Q4 5.04M $672M +$5.82M $133.30 132
2017 Q3 4.69M $690M +$151K $147.08 117
2017 Q2 4.74M $586M +$28.9M $123.73 101
2017 Q1 4.53M $516M +$142M $113.66 114
2016 Q4 3.23M $329M +$55.4M $101.86 97
2016 Q3 2.75M $263M +$20.6M $95.81 86
2016 Q2 2.53M $230M -$11.1M $90.91 86
2016 Q1 2.57M $240M +$31.4M $93.79 76
2015 Q4 2.31M $204M +$1.9M $88.31 62
2015 Q3 2.28M $170M +$3.9M $74.58 60
2015 Q2 2.23M $174M -$4.2M $78.27 57
2015 Q1 2.23M $161M +$5.57M $72.21 62
2014 Q4 2.31M $141M -$12.1M $60.74 61
2014 Q3 2.43M $151M +$26.1M $62.08 62
2014 Q2 2.01M $124M -$16.4M $61.50 57
2014 Q1 2.28M $139M +$42.9M $60.90 60