BOX INC - CL A (BOX)

Historical Portfolio Holders from Q1 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
136 M
Holdings value Q1 2024
$3.86 B
Value change Q1 2024
+$457 M
Grand Portfolio weight change Q1 2024
+0.001%
Number of holders
323
Number of buys Q1 2024
174
Number of sells Q1 2024
-159
Average buys Q1 2024 %
+0.012%
Average sells Q1 2024 %
-0.002%
CUSIP
10316T104
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 136 M $3.86 B +$457 M $28.32 323
2023 Q4 121 M $3.11 B -$5.26 M $25.61 320
2023 Q3 124 M $3 B -$82.4 M $24.21 314
2023 Q2 127 M $3.73 B +$36.5 M $29.38 335
2023 Q1 126 M $3.37 B +$9.19 M $26.79 355
2022 Q4 125 M $3.89 B +$80.2 M $31.13 355
2022 Q3 115 M $2.8 B +$4.62 M $24.39 299
2022 Q2 117 M $2.94 B +$6.14 M $25.14 304
2022 Q1 119 M $3.46 B -$95.9 M $29.06 304
2021 Q4 123 M $3.22 B -$46.2 M $26.19 291
2021 Q3 126 M $2.98 B -$85.5 M $23.67 265
2021 Q2 129 M $3.3 B -$92.6 M $25.55 271
2021 Q1 133 M $3.06 B +$136 M $22.96 293
2020 Q4 128 M $2.32 B +$36.6 M $18.05 274
2020 Q3 126 M $2.18 B +$63.3 M $17.36 283
2020 Q2 122 M $2.54 B +$88.6 M $20.76 272
2020 Q1 114 M $1.6 B -$3.28 M $14.04 231
2019 Q4 117 M $1.96 B +$40.7 M $16.78 242
2019 Q3 114 M $1.89 B +$131 M $16.56 242
2019 Q2 106 M $1.87 B +$187 M $17.61 250
2019 Q1 95.4 M $1.84 B +$53.1 M $19.31 253
2018 Q4 93.2 M $1.57 B +$15.8 M $16.88 250
2018 Q3 93.2 M $2.23 B -$44.9 M $23.91 271
2018 Q2 93.8 M $2.34 B -$246 M $24.99 272
2018 Q1 105 M $2.16 B +$202 M $20.55 208
2017 Q4 95.4 M $2.01 B +$234 M $21.12 208
2017 Q3 85 M $1.64 B +$155 M $19.32 178
2017 Q2 77.4 M $1.41 B +$537 M $18.24 185
2017 Q1 47.1 M $769 M +$182 M $16.31 155
2016 Q4 38.4 M $532 M +$84.2 M $13.86 141
2016 Q3 32.8 M $516 M +$54.4 M $15.76 122
2016 Q2 29.2 M $302 M +$55.2 M $10.34 106
2016 Q1 23.6 M $289 M +$38.3 M $12.26 93
2015 Q4 20.7 M $288 M +$88.3 M $13.96 91
2015 Q3 13.9 M $175 M +$74.6 M $12.58 91
2015 Q2 8.01 M $149 M -$12.5 M $18.64 83
2015 Q1 8.73 M $172 M +$172 M $19.75 73