Gildan Activewear Inc. - COM (GIL)

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
124 M
Holdings value Q1 2024
$4.59 B
Value change Q1 2024
-$275 M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
269
Number of buys Q1 2024
146
Number of sells Q1 2024
-118
Average buys Q1 2024 %
+0.003%
Average sells Q1 2024 %
-0.001%
CUSIP
375916103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 124 M $4.59 B -$275 M $37.13 269
2023 Q4 131 M $4.35 B -$70.5 M $33.06 260
2023 Q3 135 M $3.78 B -$49.7 M $28.01 203
2023 Q2 136 M $4.4 B -$35.5 M $32.24 209
2023 Q1 137 M $4.56 B +$131 M $33.19 215
2022 Q4 137 M $3.75 B +$48.1 M $27.40 225
2022 Q3 129 M $3.67 B -$26.1 M $28.27 210
2022 Q2 135 M $3.86 B -$61.7 M $28.78 213
2022 Q1 135 M $5.06 B -$188 M $37.49 222
2021 Q4 140 M $5.93 B -$255 M $42.39 217
2021 Q3 151 M $5.52 B -$64.5 M $36.51 211
2021 Q2 151 M $5.6 B -$18.9 M $36.92 204
2021 Q1 154 M $4.78 B -$154 M $30.65 194
2020 Q4 155 M $4.33 B +$57.6 M $27.99 179
2020 Q3 153 M $3 B -$27.6 M $19.67 171
2020 Q2 146 M $2.26 B +$64.1 M $15.49 192
2020 Q1 145 M $1.84 B -$52.7 M $12.76 201
2019 Q4 130 M $3.85 B +$174 M $29.53 224
2019 Q3 131 M $4.66 B -$85.7 M $35.50 253
2019 Q2 137 M $5.29 B -$33.9 M $38.68 249
2019 Q1 136 M $4.89 B -$137 M $35.97 243
2018 Q4 140 M $4.26 B -$22 M $30.36 251
2018 Q3 141 M $4.28 B +$8.88 M $30.43 218
2018 Q2 139 M $3.9 B -$114 M $28.16 225
2018 Q1 153 M $4.42 B -$31.1 M $28.89 217
2017 Q4 157 M $5.06 B -$74.5 M $32.30 216
2017 Q3 158 M $4.94 B -$82 M $31.26 185
2017 Q2 162 M $4.96 B -$11.9 M $30.73 183
2017 Q1 171 M $4.63 B +$649 K $27.03 179
2016 Q4 172 M $4.37 B +$19.5 M $25.37 164
2016 Q3 169 M $4.73 B +$58.9 M $27.94 164
2016 Q2 153 M $4.49 B -$77.3 M $29.32 169
2016 Q1 164 M $5.02 B -$325 M $30.51 167
2015 Q4 176 M $5 B +$83.7 M $28.42 185
2015 Q3 172 M $5.19 B +$237 M $30.16 181
2015 Q2 165 M $5.49 B -$67.5 K $33.24 178
2015 Q1 166 M $4.9 B +$2.5 B $29.51 169
2014 Q4 83.6 M $4.93 B +$90.7 M $56.55 167
2014 Q3 82.8 M $4.54 B -$246 M $54.72 158
2014 Q2 86.5 M $5.12 B +$232 M $58.89 158
2014 Q1 82.5 M $4.19 B +$55.7 M $50.38 151