FANUC CORP - COM

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
45.9 K
Holdings value Q1 2024
$1.27 M
Value change Q1 2024
-$64.2 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
2
Number of buys Q1 2024
0
Number of sells Q1 2024
-2
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0%
CUSIP
006356934
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 45.9 K $1.27 M -$64.2 K $27.76 2
2023 Q4 48.2 K $1.42 M +$244 K $29.41 2
2023 Q3 39.9 K $1.04 M +$743 K $26.09 1
2023 Q2 8.58 K $299 K +$14.6 K $34.87 1
2023 Q1 8.17 K $293 K +$236 K $35.84 1
2022 Q4 1.58 K $239 K +$239 K $151.06 1
2022 Q1 315 K $57.9 M +$8.92 M $178.33 3
2021 Q4 266 K $56.5 M +$7.36 M $211.84 3
2021 Q3 232 K $51.1 M +$6.41 M $220.75 3
2021 Q2 203 K $45.8 M -$1 M $233.50 2
2021 Q1 207 K $45.3 M -$1.11 M $227.66 2
2020 Q4 212 K $47.7 M +$25.3 M $235.09 2
2020 Q3 99.7 K $19 M +$13.2 M $190.73 2
2020 Q2 30.6 K $5.45 M +$4.66 M $178.50 2
2020 Q1 4.45 K $604 K +$136 K $135.75 1
2019 Q4 3.45 K $645 K $0 $187.07 1
2019 Q3 3.45 K $649 K $0 $188.20 1
2019 Q2 3.45 K $638 K $0 $184.98 1
2019 Q1 3.45 K $588 K +$17.1 K $170.57 1
2018 Q4 3.35 K $509 K $0 $151.94 1
2018 Q3 3.35 K $632 K $0 $188.58 1
2018 Q2 3.35 K $666 K $0 $198.66 1
2018 Q1 3.35 K $849 K $0 $253.50 1
2017 Q4 3.35 K $805 K $0 $240.21 1
2017 Q3 3.35 K $678 K $0 $202.46 1
2017 Q2 3.35 K $646 K $0 $192.73 1
2017 Q1 3.35 K $686 K +$614 K $204.79 1
2016 Q4 350 $59.5 K -$370 K $169.89 1
2016 Q3 2.55 K $429 K -$2.44 M $168.08 2
2016 Q2 17.8 K $2.85 M -$187 K $160.67 4
2016 Q1 19 K $2.95 M -$144 K $155.43 4
2015 Q4 19.5 K $3.42 M -$133 M $175.33 5
2015 Q3 889 K $136 M -$179 M $152.89 6
2015 Q2 889 K $182 M -$58.5 M $204.96 5
2015 Q1 1.17 M $257 M +$2.59 M $218.87 6
2014 Q4 1.16 M $193 M -$14.4 M $166.35 5
2014 Q3 1.25 M $225 M +$45.2 M $180.59 4
2014 Q2 999 K $172 M +$151 M $172.45 5
2014 Q1 122 K $21.6 M -$2.79 M $176.77 4