EXELIXIS, INC. - COM (EXEL)

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
244M
Holdings value Q2 2024
$5.47B
Value change Q2 2024
-$141M
Grand Portfolio weight change Q2 2024
0%
Number of holders
404
Number of buys Q2 2024
174
Number of sells Q2 2024
-211
Average buys Q2 2024 %
+0.001%
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 244M $5.47B -$141M $22.47 409
2024 Q1 250M $5.92B -$207M $23.73 415
2023 Q4 253M $6.07B -$161M $23.99 413
2023 Q3 261M $5.71B -$191M $21.85 389
2023 Q2 270M $5.16B -$201M $19.11 368
2023 Q1 280M $5.44B +$27.2M $19.41 353
2022 Q4 280M $4.49B +$68.4M $16.04 371
2022 Q3 271M $4.24B -$95.9M $15.68 372
2022 Q2 273M $5.66B +$142M $20.82 351
2022 Q1 267M $6.05B +$81.4M $22.67 339
2021 Q4 265M $4.84B -$9.93M $18.28 312
2021 Q3 265M $5.61B +$42.2M $21.14 326
2021 Q2 266M $4.85B +$92.9M $18.22 332
2021 Q1 261M $5.89B +$47.9M $22.59 335
2020 Q4 255M $5.11B +$71.3M $20.07 334
2020 Q3 256M $6.26B +$77.6M $24.45 356
2020 Q2 252M $5.99B +$238M $23.74 360
2020 Q1 236M $4.01B +$176M $17.22 318
2019 Q4 215M $3.79B +$58.3M $17.62 311
2019 Q3 227M $4.01B -$27.1M $17.69 325
2019 Q2 236M $5.04B +$84.9M $21.37 337
2019 Q1 238M $5.66B +$262M $23.80 360
2018 Q4 228M $4.48B -$90.5M $19.67 329
2018 Q3 234M $4.15B -$195M $17.72 304
2018 Q2 237M $5.1B +$253M $21.52 292
2018 Q1 234M $5.18B -$180M $22.15 282
2017 Q4 239M $7.27B -$103M $30.40 292
2017 Q3 242M $5.85B +$179M $24.23 259
2017 Q2 233M $5.75B -$36.7M $24.63 244
2017 Q1 237M $5.13B +$417M $21.67 224
2016 Q4 237M $3.54B +$283M $14.91 221
2016 Q3 220M $2.81B +$415M $12.79 197
2016 Q2 190M $1.48B +$107M $7.81 158
2016 Q1 178M $710M +$7.57M $4.00 140
2015 Q4 174M $984M +$86.5M $5.64 140
2015 Q3 159M $892M +$242M $5.61 129
2015 Q2 115M $434M -$6.34M $3.76 109
2015 Q1 119M $306M -$18.2M $2.57 105
2014 Q4 128M $185M +$2.7M $1.44 107
2014 Q3 126M $196M -$41.3M $1.53 114
2014 Q2 148M $501M -$52.8M $3.39 131
2014 Q1 156M $553M -$513M $3.54 147