Period | Shares, Excl. Options | Value, Excl. Options | Change | Price | Investors |
---|---|---|---|---|---|
2024 Q1 | 492 M | $49.5 B | -$367 M | $100.58 | 987 |
2023 Q4 | 499 M | $41.4 B | +$567 M | $82.85 | 892 |
2023 Q3 | 497 M | $30.6 B | +$1.69 B | $61.60 | 784 |
2023 Q2 | 461 M | $25.8 B | -$456 M | $56.00 | 737 |
2023 Q1 | 475 M | $24.9 B | +$274 M | $52.52 | 721 |
2022 Q4 | 473 M | $22 B | +$325 M | $46.42 | 707 |
2022 Q3 | 462 M | $19.9 B | -$125 M | $43.00 | 680 |
2022 Q2 | 451 M | $20.9 B | +$535 M | $46.29 | 701 |
2022 Q1 | 440 M | $25.7 B | -$247 M | $58.47 | 756 |
2021 Q4 | 439 M | $32.7 B | -$56.9 M | $74.50 | 803 |
2021 Q3 | 443 M | $27 B | -$170 M | $60.88 | 717 |
2021 Q2 | 447 M | $26.5 B | -$125 M | $59.24 | 682 |
2021 Q1 | 451 M | $22 B | +$85.2 M | $48.85 | 632 |
2020 Q4 | 450 M | $18.2 B | +$167 M | $40.49 | 575 |
2020 Q3 | 445 M | $15.3 B | +$9.63 M | $34.34 | 522 |
2020 Q2 | 445 M | $13.7 B | +$560 M | $30.88 | 475 |
2020 Q1 | 411 M | $9.64 B | -$236 M | $23.47 | 445 |
2019 Q4 | 426 M | $12.4 B | +$70.6 M | $29.17 | 483 |
2019 Q3 | 424 M | $11.4 B | +$282 M | $26.85 | 441 |
2019 Q2 | 411 M | $10.4 B | +$84.8 M | $25.27 | 434 |
2019 Q1 | 410 M | $9.63 B | +$675 M | $23.49 | 398 |
2018 Q4 | 379 M | $7.45 B | -$3.75 M | $19.63 | 352 |
2018 Q3 | 380 M | $10.4 B | +$7.81 B | $27.27 | 350 |
2018 Q2 | 92.1 M | $2.29 B | +$2.29 B | $24.85 | 45 |
2018 Q1 | 8.17 K | $166 K | +$60.90 | $20.30 | 1 |
2017 Q4 | 8.16 K | $172 K | +$21.1 K | $21.06 | 1 |
2017 Q3 | 7.16 K | $146 K | -$20.3 K | $20.33 | 1 |
2017 Q2 | 8.16 K | $152 K | +$55.80 | $18.60 | 1 |
2017 Q1 | 8.16 K | $149 K | +$72.90 | $18.23 | 1 |
2016 Q4 | 8.15 K | $125 K | +$5.4 K | $15.39 | 1 |
2016 Q3 | 7.8 K | $111 K | -$3.78 K | $14.26 | 1 |
2016 Q2 | 8.07 K | $99.5 K | -$29.6 K | $12.34 | 1 |
2016 Q1 | 10.5 K | $154 K | $0 | $14.69 | 1 |