Broadcom Inc. - Common (AVGO)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / Common
Shares, excl. options Q2 2024
347
Holdings value Q2 2024
$558K
Value change Q2 2024
-$260K
Grand Portfolio weight change Q2 2024
0%
Number of holders
3
Number of buys Q2 2024
2
Number of sells Q2 2024
-1
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 Q2 347 $558K -$260K $1,609.02 3
2024 Q1 513 $681K -$89K $1,327.58 2
2023 Q4 580 $651K -$124M $1,121.25 2
2023 Q3 150K $124M +$28.1M $830.00 2
2023 Q2 116K $100M +$100M $867.43 1
2023 Q1 0 $0 -$64.9M 0
2022 Q4 116K $64.9M +$46.6M $559.13 1
2022 Q3 33.1K $14.7M -$20.5M $443.89 2
2022 Q2 79.3K $38.5M +$17.7M $485.80 3
2022 Q1 42K $26.5M +$5.57M $629.60 4
2021 Q4 36.6K $24.3M -$5.24M $665.41 3
2021 Q3 44.5K $21.6M -$13.3M $485.06 4
2021 Q2 71.9K $34.3M -$9.92M $476.89 5
2021 Q1 92.7K $43M -$10.3M $463.64 4
2020 Q4 115K $50.4M +$18.9M $437.93 4
2020 Q3 72K $26.2M -$11.4M $364.32 5
2020 Q2 104K $32.7M -$315K $315.44 7
2020 Q1 104K $24.8M -$7.69M $237.79 6
2019 Q4 137K $43.3M +$8.48M $315.82 6
2019 Q3 110K $30.4M -$2.31M $276.07 5
2019 Q2 118K $34.1M +$5.1M $287.86 5
2019 Q1 101K $30.3M -$18.3M $300.40 6
2018 Q4 162K $41.1M -$36.8M $254.12 7
2018 Q3 306K $75.6M +$7.19M $246.60 6
2018 Q2 277K $67.3M +$28.7M $241.98 7
2018 Q1 160K $37.6M -$296K $235.66 8
2017 Q4 159K $41M +$7.16M $256.89 10
2017 Q3 131K $31.8M -$2.47M $242.51 9
2017 Q2 141K $32.9M +$14M $233.05 9
2017 Q1 81.3K $17.8M -$9.23M $218.97 9
2016 Q4 137K $24.3M +$10.7M $176.75 9
2016 Q3 76.9K $13.3M -$303M $172.53 9
2016 Q2 2.03M $315M -$88.4M $155.42 9
2016 Q1 2.46M $379M -$32B $154.42 20
2015 Q4 223M $32.4B -$267M $145.15 563
2015 Q3 227M $28.3B +$1.15B $125.01 592
2015 Q2 218M $29B +$3.59B $132.93 606
2015 Q1 189M $24B +$692M $126.98 551
2014 Q4 184M $18.5B +$243M $100.59 501
2014 Q3 185M $16.1B -$160M $87.00 434
2014 Q2 186M $13.4B +$191M $72.07 414
2014 Q1 185M $11.9B +$12.4M $64.41 360