Apple Hospitality REIT, Inc. - COM NEW (APLE)

Historical Portfolio Holders from Q2 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q1 2024
201 M
Holdings value Q1 2024
$3.29 B
Value change Q1 2024
-$138 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
289
Number of buys Q1 2024
132
Number of sells Q1 2024
-150
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
03784Y200
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 201 M $3.29 B -$138 M $16.38 290
2023 Q4 212 M $3.52 B +$145 M $16.61 306
2023 Q3 204 M $3.14 B +$313 M $15.34 280
2023 Q2 182 M $2.76 B -$55.4 M $15.11 263
2023 Q1 185 M $2.86 B +$15.7 M $15.52 267
2022 Q4 184 M $2.9 B +$28.9 M $15.78 282
2022 Q3 178 M $2.5 B -$163 M $14.06 266
2022 Q2 187 M $2.74 B -$19.3 M $14.67 259
2022 Q1 185 M $3.32 B +$109 M $17.97 255
2021 Q4 180 M $2.9 B -$43.2 M $16.15 237
2021 Q3 184 M $2.89 B +$56.8 M $15.73 238
2021 Q2 180 M $2.75 B +$280 M $15.26 233
2021 Q1 162 M $2.36 B +$74.5 M $14.57 246
2020 Q4 156 M $2.01 B +$307 M $12.91 230
2020 Q3 137 M $1.31 B -$28.1 M $9.61 226
2020 Q2 141 M $1.36 B +$32.7 M $9.66 237
2020 Q1 140 M $1.28 B +$3.11 M $9.17 243
2019 Q4 138 M $2.24 B +$20.7 M $16.25 247
2019 Q3 136 M $2.25 B +$31.8 M $16.58 242
2019 Q2 133 M $2.11 B +$121 M $15.86 233
2019 Q1 113 M $1.84 B +$24.8 M $16.30 244
2018 Q4 125 M $1.79 B -$69 M $14.26 234
2018 Q3 114 M $2 B -$36.5 M $17.49 236
2018 Q2 116 M $2.08 B +$74.6 M $17.88 243
2018 Q1 114 M $2 B +$80.2 M $17.57 230
2017 Q4 110 M $2.16 B +$183 M $19.61 211
2017 Q3 101 M $1.91 B +$45.8 M $18.91 199
2017 Q2 98 M $1.83 B +$40.5 M $18.71 201
2017 Q1 95.7 M $1.83 B +$222 M $19.10 183
2016 Q4 93.7 M $1.87 B +$236 M $19.98 187
2016 Q3 91.2 M $1.69 B +$285 M $18.51 174
2016 Q2 76 M $1.43 B +$89.7 M $18.81 154
2016 Q1 70.8 M $1.4 B +$76.9 M $19.81 131
2015 Q4 67.3 M $1.34 B +$623 M $19.97 130
2015 Q3 36.2 M $672 M +$390 M $18.57 102
2015 Q2 14.1 M $265 M +$265 M $18.87 58