Keysight Technologies, Inc. - COM (KEYS)

Historical Portfolio Holders from Q3 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
148 M
Holdings value Q1 2024
$23.2 B
Value change Q1 2024
-$117 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
824
Number of buys Q1 2024
341
Number of sells Q1 2024
-417
Average buys Q1 2024 %
+0.009%
Average sells Q1 2024 %
-0.004%
CUSIP
49338L103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 148 M $23.2 B -$117 M $156.38 824
2023 Q4 145 M $23 B +$480 M $159.09 849
2023 Q3 144 M $19 B -$278 M $132.31 806
2023 Q2 142 M $23.8 B -$1.4 B $167.45 900
2023 Q1 148 M $23.9 B +$84.9 M $161.48 861
2022 Q4 147 M $25.1 B +$149 M $171.07 884
2022 Q3 146 M $23.1 B -$669 M $157.36 835
2022 Q2 147 M $20.1 B -$173 M $137.85 785
2022 Q1 148 M $23.4 B -$581 M $157.97 819
2021 Q4 148 M $30.5 B -$413 M $206.51 881
2021 Q3 153 M $25.2 B -$383 M $164.29 773
2021 Q2 156 M $24.1 B +$196 M $154.41 740
2021 Q1 157 M $22.5 B -$577 M $143.40 729
2020 Q4 165 M $21.7 B +$250 M $132.09 700
2020 Q3 164 M $16.2 B -$359 M $98.78 618
2020 Q2 166 M $16.7 B +$366 M $100.78 640
2020 Q1 158 M $13.3 B -$448 M $83.68 625
2019 Q4 168 M $17.3 B +$142 M $102.63 681
2019 Q3 167 M $16.2 B +$451 M $97.25 647
2019 Q2 162 M $14.6 B +$362 M $89.81 599
2019 Q1 162 M $14.1 B -$365 M $87.20 602
2018 Q4 165 M $10.2 B +$242 M $62.08 502
2018 Q3 163 M $10.8 B -$202 M $66.28 471
2018 Q2 166 M $9.79 B +$7.74 M $59.03 440
2018 Q1 163 M $8.52 B +$88.7 M $52.39 376
2017 Q4 153 M $6.35 B -$1.56 M $41.60 351
2017 Q3 152 M $6.32 B +$95.6 M $41.66 321
2017 Q2 150 M $5.82 B +$26 M $38.93 331
2017 Q1 146 M $5.27 B +$239 M $36.14 346
2016 Q4 147 M $5.38 B +$41.6 M $36.57 334
2016 Q3 146 M $4.61 B -$31.3 M $31.69 291
2016 Q2 147 M $4.27 B -$22.2 M $29.09 301
2016 Q1 145 M $4.03 B +$34.5 M $27.74 293
2015 Q4 145 M $4.12 B +$4.47 M $28.33 307
2015 Q3 137 M $4.21 B +$79.3 M $30.84 316
2015 Q2 133 M $4.14 B -$40.5 M $31.19 306
2015 Q1 143 M $5.3 B +$232 M $37.15 338
2014 Q4 138 M $4.67 B +$4.64 B $33.77 339
2014 Q3 456 K $13.6 M +$13.6 M $30.03 2