Dine Brands Global, Inc. - COM (DIN)

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
14.4 M
Holdings value Q1 2024
$668 M
Value change Q1 2024
+$18.7 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
182
Number of buys Q1 2024
98
Number of sells Q1 2024
-77
Average buys Q1 2024 %
+0.003%
Average sells Q1 2024 %
0%
CUSIP
254423106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 14.4 M $668 M +$18.7 M $46.48 182
2023 Q4 13.9 M $692 M -$7.17 M $49.65 167
2023 Q3 14.2 M $704 M +$4.02 M $49.45 152
2023 Q2 14.1 M $817 M -$62 M $58.03 154
2023 Q1 14.8 M $998 M -$7.44 M $67.64 162
2022 Q4 15.1 M $975 M +$17.8 M $64.60 169
2022 Q3 14.6 M $927 M -$29.3 M $63.56 162
2022 Q2 15.5 M $1.01 B +$12.5 M $65.08 160
2022 Q1 15.4 M $1.2 B +$9.59 M $77.95 163
2021 Q4 15.4 M $1.17 B -$119 M $75.81 184
2021 Q3 15.4 M $1.25 B +$18.1 M $81.21 186
2021 Q2 15.1 M $1.35 B +$13.3 M $89.25 191
2021 Q1 14.9 M $1.34 B +$104 M $90.03 183
2020 Q4 13.9 M $807 M -$2.2 M $58.00 174
2020 Q3 13.7 M $749 M +$23.9 M $54.59 154
2020 Q2 13.4 M $563 M -$33.2 M $42.10 159
2020 Q1 14.8 M $425 M -$134 M $28.68 140
2019 Q4 17.8 M $1.49 B -$20.2 M $83.52 181
2019 Q3 18 M $1.37 B -$73.4 M $75.86 188
2019 Q2 18.8 M $1.8 B +$60.5 M $95.47 207
2019 Q1 18.6 M $1.7 B +$33.9 M $91.29 218
2018 Q4 18.4 M $1.24 B -$42.2 M $67.34 205
2018 Q3 19 M $1.54 B -$39.1 M $81.31 194
2018 Q2 19.5 M $1.46 B +$71.6 M $74.80 182
2018 Q1 18.6 M $1.22 B +$75.9 M $65.58 178
2017 Q4 17.5 M $886 M +$24.2 M $50.73 165
2017 Q3 16.9 M $726 M -$1.41 M $42.98 154
2017 Q2 16.9 M $747 M +$27.1 M $44.05 156
2017 Q1 16.3 M $885 M -$37.2 M $54.42 168
2016 Q4 17.4 M $1.34 B +$19.8 M $77.00 186
2016 Q3 17.1 M $1.35 B -$36 M $79.19 185
2016 Q2 18.3 M $1.55 B -$52 M $84.78 176
2016 Q1 18.9 M $1.76 B -$57.1 M $93.43 171
2015 Q4 19.5 M $1.65 B +$47.3 M $84.67 161
2015 Q3 19 M $1.74 B +$10.6 M $91.66 166
2015 Q2 18.6 M $1.84 B +$9.89 M $99.09 190
2015 Q1 18.8 M $2.01 B -$8.82 M $107.01 201
2014 Q4 18.9 M $1.96 B -$51.1 M $103.64 182
2014 Q3 19.6 M $1.6 B +$14.2 M $81.59 172
2014 Q2 19.6 M $1.55 B -$65.6 M $79.49 154
2014 Q1 17.8 M $1.39 B -$5.87 M $78.07 148