ASGN Inc - COM (ASGN)

Historical Portfolio Holders from Q1 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
42.5 M
Holdings value Q1 2024
$4.45 B
Value change Q1 2024
-$113 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
263
Number of buys Q1 2024
110
Number of sells Q1 2024
-133
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
00191U102
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 42.5 M $4.45 B -$113 M $104.76 263
2023 Q4 43.7 M $4.2 B -$74.1 M $96.17 269
2023 Q3 44.4 M $3.63 B -$57.6 M $81.68 255
2023 Q2 45.5 M $3.44 B -$53.1 M $75.63 240
2023 Q1 46.1 M $3.81 B -$42.4 M $82.67 267
2022 Q4 45.8 M $3.73 B -$53.8 M $81.48 257
2022 Q3 45.8 M $4.14 B -$62.4 M $90.37 259
2022 Q2 47.8 M $4.31 B +$16.7 M $90.25 273
2022 Q1 47.9 M $5.58 B +$21.4 M $116.71 265
2021 Q4 48.3 M $5.96 B -$205 M $123.40 290
2021 Q3 49.8 M $5.64 B -$31.9 M $113.14 244
2021 Q2 49.9 M $4.84 B -$48.8 M $96.93 260
2021 Q1 50.5 M $4.82 B +$55.9 M $95.44 271
2020 Q4 50.1 M $4.19 B +$47.2 M $83.53 264
2020 Q3 49 M $3.12 B +$25.1 M $63.56 262
2020 Q2 49.4 M $3.29 B +$73.5 M $66.68 242
2020 Q1 47.9 M $1.69 B -$67.5 M $35.32 227
2019 Q4 48.4 M $3.44 B +$23.9 M $70.97 250
2019 Q3 48.5 M $3.05 B +$1.63 M $62.86 253
2019 Q2 48.8 M $2.95 B +$132 M $60.60 262
2019 Q1 48.2 M $3.06 B +$69.6 M $63.49 277
2018 Q4 46.6 M $2.54 B -$75.3 M $54.50 281
2018 Q3 48.5 M $3.83 B +$155 M $78.93 292
2018 Q2 46.6 M $3.65 B +$2.96 B $78.19 248
2018 Q1 8.75 M $717 M +$716 M $81.88 47
2017 Q4 9.95 K $640 K $0 $64.29 2
2017 Q3 448 $24 K $0 $53.68 1
2017 Q2 448 $24.3 K $0 $54.15 1
2017 Q1 448 $21.7 K $0 $48.53 1
2016 Q4 448 $19.8 K $0 $44.16 1
2016 Q3 448 $16.3 K +$9.29 K $36.29 1
2016 Q2 192 $7.09 K +$2.77 K $36.95 1
2016 Q1 117 $4.32 K $0 $36.92 1