ALIGN TECHNOLOGY INC - COM (ALGN)

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
62.6 M
Holdings value Q1 2024
$20.5 B
Value change Q1 2024
-$16.9 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
771
Number of buys Q1 2024
382
Number of sells Q1 2024
-339
Average buys Q1 2024 %
+0.026%
Average sells Q1 2024 %
-0.003%
CUSIP
016255101
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 62.6 M $20.5 B -$16.9 M $327.92 772
2023 Q4 63.2 M $17.3 B -$443 M $274.00 751
2023 Q3 65.1 M $19.9 B -$356 M $305.32 778
2023 Q2 65.9 M $23.3 B -$238 M $353.64 745
2023 Q1 66.8 M $22.3 B +$302 M $334.14 747
2022 Q4 66.2 M $14 B -$219 M $210.90 682
2022 Q3 66.3 M $13.7 B -$127 M $207.11 686
2022 Q2 67.4 M $16 B -$62.9 M $236.67 707
2022 Q1 66.2 M $28.9 B -$451 M $436.00 818
2021 Q4 67.4 M $44.3 B +$250 M $657.18 893
2021 Q3 66.2 M $44 B -$35 M $665.43 864
2021 Q2 66.4 M $40.6 B -$575 M $611.00 832
2021 Q1 66.9 M $36.2 B +$96.6 M $541.53 787
2020 Q4 67.1 M $35.8 B -$273 M $534.38 765
2020 Q3 67.3 M $22 B -$200 M $327.36 642
2020 Q2 68.6 M $18.8 B +$305 M $274.44 615
2020 Q1 67.6 M $11.8 B +$67.4 M $173.95 580
2019 Q4 66.9 M $18.7 B +$485 M $279.04 648
2019 Q3 65.4 M $11.8 B -$1.29 B $180.92 576
2019 Q2 67.6 M $18.5 B +$770 M $273.70 652
2019 Q1 67 M $19 B +$418 M $284.33 629
2018 Q4 65.9 M $13.8 B +$503 M $209.43 621
2018 Q3 62.4 M $24.4 B -$354 M $391.22 694
2018 Q2 63.8 M $21.8 B +$423 M $342.14 670
2018 Q1 63.4 M $15.9 B -$170 M $251.13 640
2017 Q4 64.5 M $14.3 B -$706 M $222.19 622
2017 Q3 67.3 M $12.5 B +$435 M $186.27 547
2017 Q2 65.9 M $9.89 B -$559 M $150.12 497
2017 Q1 70.8 M $8.12 B +$949 M $114.71 434
2016 Q4 67.9 M $6.53 B +$20 M $96.13 430
2016 Q3 67.9 M $6.36 B -$135 M $93.75 390
2016 Q2 70 M $5.64 B -$177 M $80.55 349
2016 Q1 71.8 M $5.22 B +$181 M $72.69 313
2015 Q4 70 M $4.61 B -$136 M $65.85 285
2015 Q3 69.6 M $3.95 B -$141 M $56.76 269
2015 Q2 70.9 M $4.45 B +$155 M $62.71 287
2015 Q1 64.6 M $3.48 B +$60.5 M $53.78 284
2014 Q4 68.5 M $3.83 B +$145 M $55.91 280
2014 Q3 66.7 M $3.45 B +$30.4 M $51.68 274
2014 Q2 66 M $3.7 B +$73.4 M $56.04 266
2014 Q1 64.9 M $3.36 B +$2.7 M $51.79 268