AerCap Holdings NV - common

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / common
Shares, excl. options Q1 2024
44.6 K
Holdings value Q1 2024
$3.88 M
Value change Q1 2024
+$42.7 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
1
Number of buys Q1 2024
1
Number of sells Q1 2024
0
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0
CUSIP
000068766
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 44.6 K $3.88 M +$42.7 K $86.91 1
2023 Q4 44.1 K $3.28 M +$186 K $74.32 1
2023 Q3 41.6 K $2.61 M +$230 K $62.67 1
2023 Q2 38 K $2.41 M +$3.62 K $63.52 1
2023 Q1 37.9 K $2.13 M +$554 K $56.23 1
2022 Q4 28.1 K $1.64 M +$11.7 K $58.32 1
2022 Q3 27.9 K $1.18 M -$122 K $42.33 1
2022 Q2 30.7 K $1.26 M +$170 K $40.94 1
2022 Q1 26.6 K $1.34 M +$1.34 M $50.28 1
2020 Q3 27.8 K $701 K +$14.4 K $25.19 1
2020 Q2 27.3 K $840 K +$49.3 K $30.80 1
2020 Q1 25.7 K $585 K -$79.9 K $22.79 1
2019 Q4 29.2 K $1.79 M -$40.7 K $61.47 1
2019 Q3 29.8 K $1.63 M +$7.28 K $54.75 1
2019 Q2 29.7 K $1.54 M +$186 K $52.01 1
2019 Q1 26.1 K $1.22 M +$19.5 K $46.54 1
2018 Q4 25.7 K $1.02 M +$142 K $39.60 1
2018 Q3 22.1 K $1.27 M -$8.86 M $57.52 1
2018 Q2 186 K $10.1 M +$1.29 M $54.15 2
2018 Q1 162 K $8.22 M -$10.3 K $50.72 2
2017 Q4 162 K $8.54 M +$242 K $52.61 2
2017 Q3 158 K $8.06 M -$191 K $51.11 2
2017 Q2 162 K $7.51 M +$2.53 M $46.43 3
2017 Q1 107 K $4.93 M +$3.82 M $45.97 3
2016 Q4 24.2 K $1.01 M +$212 K $41.61 3
2016 Q3 19.1 K $735 K +$23.1 K $38.48 2
2016 Q2 18.5 K $622 K -$5.63 M $33.62 2
2016 Q1 162 K $6.28 M +$6.08 M $38.80 2
2015 Q4 5.2 K $224 K +$224 K $43.08 1
2014 Q4 47.1 K $1.83 M -$436 K $38.83 1
2014 Q3 58.4 K $2.39 M +$32.7 K $40.90 1
2014 Q2 57.6 K $2.64 M +$139 K $45.79 1
2014 Q1 54.5 K $2.3 M -$1.5 M $42.19 1