GALAPAGOS NV - SPON ADR (GLPG)

Historical Portfolio Holders from Q2 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / SPON ADR
Shares, excl. options Q1 2024
20.3 M
Holdings value Q1 2024
$654 M
Value change Q1 2024
+$19.2 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
75
Number of buys Q1 2024
34
Number of sells Q1 2024
-40
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
0%
CUSIP
36315X101
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 20.3 M $654 M +$19.2 M $32.20 75
2023 Q4 19.7 M $799 M +$14.5 M $40.65 82
2023 Q3 19.1 M $658 M -$16.5 M $34.55 70
2023 Q2 19.6 M $796 M +$56.2 M $40.66 73
2023 Q1 18.2 M $703 M +$192 M $38.64 72
2022 Q4 13.2 M $585 M +$15.5 M $44.38 70
2022 Q3 12.2 M $522 M +$3.79 M $42.64 70
2022 Q2 12.9 M $719 M -$9.23 M $55.80 77
2022 Q1 12.8 M $794 M +$136 M $62.02 88
2021 Q4 10.7 M $590 M +$109 M $55.13 76
2021 Q3 8.16 M $429 M -$19.9 M $52.61 74
2021 Q2 7.48 M $515 M +$51.3 M $68.89 99
2021 Q1 6.31 M $486 M +$150 M $77.09 120
2020 Q4 4.41 M $436 M -$402 M $98.98 99
2020 Q3 7.41 M $1.05 B -$43.8 M $141.91 113
2020 Q2 7.62 M $1.5 B -$1.07 M $197.29 134
2020 Q1 7.62 M $1.49 B +$33.9 M $195.92 131
2019 Q4 7.44 M $1.54 B -$169 M $206.83 126
2019 Q3 8.43 M $1.29 B -$16.3 M $152.66 105
2019 Q2 8.58 M $1.11 B +$33.2 M $128.93 93
2019 Q1 8.33 M $981 M +$40.4 M $117.78 89
2018 Q4 8.12 M $745 M -$126 M $91.74 82
2018 Q3 9.39 M $1.05 B +$203 M $112.43 90
2018 Q2 7.57 M $698 M -$131 M $92.18 74
2018 Q1 8.96 M $893 M -$95.6 M $99.76 79
2017 Q4 9.92 M $930 M -$15.3 M $93.76 71
2017 Q3 10.1 M $1.03 B -$188 M $101.75 67
2017 Q2 12 M $922 M +$149 M $76.52 76
2017 Q1 10 M $865 M +$9.87 M $86.19 61
2016 Q4 9.99 M $642 M +$17.9 M $64.19 49
2016 Q3 9.71 M $628 M -$5.05 M $64.66 46
2016 Q2 9.79 M $543 M +$57.6 M $55.47 38
2016 Q1 8.77 M $367 M +$15.3 M $41.82 32
2015 Q4 8.24 M $518 M -$31.9 M $62.88 43
2015 Q3 9.05 M $368 M +$6.56 M $40.71 37
2015 Q2 8.79 M $453 M +$453 M $51.50 40