Dolby Laboratories, Inc. - COM CL A (DLB)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM CL A
Shares, excl. options Q1 2024
49 M
Holdings value Q1 2024
$4.1 B
Value change Q1 2024
-$183 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
397
Number of buys Q1 2024
172
Number of sells Q1 2024
-208
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
-0.001%
CUSIP
25659T107
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 49 M $4.1 B -$183 M $83.77 400
2023 Q4 51.2 M $4.42 B -$104 M $86.18 419
2023 Q3 52.3 M $4.15 B +$223 M $79.26 401
2023 Q2 51.8 M $4.34 B -$79.9 M $83.68 405
2023 Q1 52.5 M $4.49 B -$53.2 M $85.42 398
2022 Q4 53.4 M $3.77 B +$269 M $70.54 372
2022 Q3 54.2 M $3.53 B -$250 M $65.15 353
2022 Q2 58.4 M $4.18 B -$103 M $71.56 340
2022 Q1 60.2 M $4.71 B +$20.5 M $78.22 341
2021 Q4 60 M $5.71 B +$67.7 M $95.22 357
2021 Q3 59.6 M $5.24 B -$147 M $88.00 365
2021 Q2 60.6 M $5.96 B -$33.6 M $98.29 370
2021 Q1 60.7 M $5.99 B -$36.1 M $98.72 365
2020 Q4 60.6 M $5.89 B +$61.8 M $97.13 327
2020 Q3 59.5 M $3.94 B -$31.2 M $66.28 319
2020 Q2 59.6 M $3.93 B +$29.2 M $65.87 291
2020 Q1 59.7 M $3.24 B +$18.2 M $54.21 290
2019 Q4 58.7 M $4.04 B -$2.31 M $68.80 309
2019 Q3 58.7 M $3.8 B +$31.2 M $64.64 288
2019 Q2 58.3 M $3.76 B +$181 M $64.60 291
2019 Q1 57.2 M $3.6 B -$19.9 M $62.97 307
2018 Q4 57.8 M $3.58 B -$58.5 M $61.84 294
2018 Q3 58.3 M $4.08 B -$19.6 M $69.97 296
2018 Q2 58.7 M $3.62 B +$170 M $61.69 260
2018 Q1 57.2 M $3.64 B +$135 M $63.56 277
2017 Q4 54.7 M $3.39 B +$37.5 M $62.00 269
2017 Q3 54 M $3.1 B +$119 M $57.52 236
2017 Q2 52.5 M $2.57 B +$26.3 M $48.96 251
2017 Q1 52 M $2.73 B +$124 M $52.41 240
2016 Q4 52.2 M $2.36 B -$60.2 M $45.19 267
2016 Q3 53 M $2.87 B +$133 M $54.29 243
2016 Q2 50.6 M $2.42 B +$26.8 M $47.85 231
2016 Q1 50.7 M $2.2 B +$107 M $43.46 198
2015 Q4 48.9 M $1.65 B +$78.2 M $33.65 192
2015 Q3 46.4 M $1.51 B -$32.5 M $32.60 189
2015 Q2 47.9 M $1.9 B +$71.3 M $39.68 192
2015 Q1 46.3 M $1.77 B -$13.2 M $38.16 200
2014 Q4 46.7 M $2.02 B -$91 M $43.12 197
2014 Q3 48 M $2.01 B +$1.03 M $41.79 203
2014 Q2 47.9 M $2.07 B -$105 M $43.20 195
2014 Q1 50.3 M $2.24 B +$40 M $44.50 188