EBAY INC - COM (EBAY)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
447M
Holdings value Q2 2024
$24B
Value change Q2 2024
-$93.8M
Grand Portfolio weight change Q2 2024
0%
Number of holders
930
Number of buys Q2 2024
416
Number of sells Q2 2024
-404
Average buys Q2 2024 %
+0.003%
Average sells Q2 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 447M $24B -$93.8M $53.72 943
2024 Q1 450M $23.7B -$75.2M $52.78 928
2023 Q4 452M $19.7B +$106M $43.62 887
2023 Q3 449M $19.8B -$373M $44.09 857
2023 Q2 452M $20.2B -$74.8M $44.69 882
2023 Q1 453M $20.1B -$276M $44.37 882
2022 Q4 462M $19.2B -$148M $41.47 894
2022 Q3 464M $17.1B -$353M $36.81 842
2022 Q2 473M $19.7B -$1.04B $41.67 893
2022 Q1 498M $28.5B -$1.18B $57.26 976
2021 Q4 510M $33.9B -$2.65B $66.50 1,079
2021 Q3 554M $38.6B -$2.53B $69.67 1,053
2021 Q2 590M $41.4B +$206M $70.21 1,047
2021 Q1 592M $36.2B -$1.08B $61.24 1,040
2020 Q4 610M $30.7B -$706M $50.25 997
2020 Q3 626M $32.6B -$1.04B $52.10 968
2020 Q2 644M $33.8B -$316M $52.45 935
2020 Q1 651M $19.6B -$2.47B $30.06 805
2019 Q4 660M $23.8B -$693M $36.11 886
2019 Q3 697M $27.1B -$918M $38.98 878
2019 Q2 716M $28.3B -$184M $39.50 880
2019 Q1 752M $27.9B -$704M $37.14 870
2018 Q4 760M $21.3B -$1.04B $28.07 802
2018 Q3 802M $26.5B -$960M $33.02 878
2018 Q2 831M $30.1B -$636M $36.26 885
2018 Q1 842M $33.9B -$1.15B $40.24 909
2017 Q4 892M $33.7B -$131M $37.74 862
2017 Q3 893M $34.3B -$587M $38.46 803
2017 Q2 912M $31.9B -$135M $34.92 800
2017 Q1 927M $31.1B +$2.25B $33.57 820
2016 Q4 924M $27.4B -$999M $29.69 804
2016 Q3 953M $31.3B +$485M $32.90 769
2016 Q2 938M $22B -$357M $23.41 747
2016 Q1 951M $22.8B -$662M $23.86 769
2015 Q4 980M $27B -$376M $27.48 861
2015 Q3 997M $24.4B -$3.86B $24.44 842
2015 Q2 967M $58.2B +$248M $60.24 1,007
2015 Q1 993M $57.3B +$641M $57.68 990
2014 Q4 989M $55.5B -$1.96B $56.12 1,003
2014 Q3 1.01B $57.3B +$1.56B $56.63 968
2014 Q2 997M $49.9B -$2.02B $50.06 987
2014 Q1 1.02B $56.3B -$1.97B $55.24 1,015