Monster Beverage Corp - COM (MNST)

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
8.14K
Holdings value Q2 2024
$407K
Value change Q2 2024
-$172K
Grand Portfolio weight change Q2 2024
0%
Number of holders
1
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 8.14K $407K -$172K $49.95 1
2024 Q1 11.6K $687K -$25.5K $59.28 1
2023 Q4 12K $693K -$8.64K $57.61 1
2023 Q3 12.2K $645K +$179K $52.95 1
2023 Q2 8.79K $505K -$16.1K $57.44 1
2023 Q1 9.07K $490K +$224K $54.01 1
2022 Q4 4.92K $500K -$5.48K $101.53 1
2022 Q3 4.98K $433K -$21.1K $87.04 1
2022 Q2 5.22K $484K +$1.11K $92.77 1
2022 Q1 5.21K $416K $0 $79.92 1
2021 Q4 5.21K $500K -$7.02M $96.06 1
2021 Q3 84.2K $7.48M -$291K $88.41 2
2021 Q2 87.5K $7.99M -$70.2K $91.30 3
2021 Q1 88.3K $8.04M -$8.1M $91.11 3
2020 Q4 176K $16.3M -$657K $92.48 5
2020 Q3 183K $14.7M -$163K $80.19 5
2020 Q2 185K $12.8M +$334K $69.32 5
2020 Q1 181K $10.2M +$1.13M $56.24 6
2019 Q4 160K $10.2M +$925K $63.55 6
2019 Q3 146K $8.46M -$299K $58.05 5
2019 Q2 150K $9.58M +$2.07M $63.82 6
2019 Q1 118K $6.43M +$31.8K $54.58 5
2018 Q4 117K $5.77M -$2.16M $49.22 5
2018 Q3 161K $9.38M +$203K $58.28 5
2018 Q2 157K $9.02M +$665K $57.29 5
2018 Q1 146K $8.34M +$701K $57.21 5
2017 Q4 134K $8.46M -$2.43M $63.29 4
2017 Q3 176K $9.75M +$82K $55.28 5
2017 Q2 175K $8.69M -$461K $49.68 5
2017 Q1 185K $8.54M +$445K $46.16 6
2016 Q4 175K $7.77M +$3.04M $44.35 5
2016 Q3 73.5K $10.8M -$1.34M $146.81 6
2016 Q2 81K $13M -$630K $160.74 9
2016 Q1 87.1K $11.6M +$138K $133.37 10
2015 Q4 84.8K $12.6M -$1.97M $148.96 9
2015 Q3 101K $13.6M -$6.41M $135.11 14
2015 Q2 150K $19.9M -$17.8B $134.01 21
2015 Q1 131M $18.1B -$197M $138.39 458
2014 Q4 133M $14.4B +$115M $108.35 431
2014 Q3 134M $12.2B +$11M $91.67 408
2014 Q2 134M $9.52B +$191M $71.03 401
2014 Q1 131M $9.13B -$308M $69.45 390