ASML Holding N V ADR - COM

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
235
Holdings value Q2 2024
$240K
Value change Q2 2024
-$10.7M
Grand Portfolio weight change Q2 2024
0%
Number of holders
3
Number of buys Q2 2024
1
Number of sells Q2 2024
-1
Average buys Q2 2024 %
+0%
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 Q2 235 $240K -$10.7M $1,022.32 3
2024 Q1 10.7K $10.4M +$10.2M $969.61 2
2023 Q4 234 $178K $0 $757.91 2
2023 Q3 234 $138K $0 $588.99 2
2023 Q2 234 $169K $0 $724.01 2
2023 Q1 234 $159K -$11K $679.64 2
2022 Q4 254 $138K +$11K $546.40 3
2022 Q3 234 $97K $0 $407.59 2
2022 Q2 234 $112K $0 $488.84 2
2022 Q1 234 $157K $0 $684.82 2
2021 Q4 234 $186K $0 $797.32 2
2021 Q3 234 $174K $0 $722.77 2
2021 Q2 234 $162K $0 $695.98 2
2021 Q1 234 $144K $0 $608.04 2
2020 Q4 234 $114K $0 $493.30 2
2020 Q3 234 $87K $0 $385.27 2
2020 Q2 234 $86K $0 $383.04 2
2020 Q1 234 $62K +$3K $281.70 2
2019 Q4 224 $66K $0 $294.64 1
2019 Q3 224 $56K $0 $250.00 1
2019 Q2 224 $47K $0 $209.82 1
2019 Q1 224 $42K $0 $187.50 1
2018 Q4 224 $35K $0 $156.25 1
2018 Q3 224 $42K -$11.3K $187.50 1
2018 Q2 284 $56K $0 $197.18 1
2018 Q1 284 $56K $0 $197.18 1
2017 Q4 284 $49K $0 $172.54 1
2017 Q3 284 $49K $0 $172.54 1
2017 Q2 284 $37K $0 $130.28 1
2017 Q1 284 $38K $0 $133.80 1
2016 Q4 284 $32K $0 $112.68 1
2016 Q3 284 $31K $0 $109.15 1
2016 Q2 284 $28K -$1.17M $98.59 1
2016 Q1 12.1K $1.22M -$2.01K $100.35 1
2015 Q4 12.1K $1.08M -$40.2K $88.74 1
2015 Q3 12.6K $1.11M +$6.16K $88.01 1
2015 Q2 12.5K $1.3M $0 $104.15 1
2015 Q1 12.5K $1.27M +$14.4K $101.04 1
2014 Q4 12.4K $1.34M -$12.6K $107.86 1
2014 Q3 12.5K $1.25M -$2.1K $100.05 1
2014 Q2 12.5K $1.17M +$3.82K $93.25 1
2014 Q1 12.5K $1.17M $0 $93.39 1