Monster Beverage Corp - COM (MNST)

Historical Portfolio Holders from Q3 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
637M
Holdings value Q2 2024
$31.8B
Value change Q2 2024
-$1.76B
Grand Portfolio weight change Q2 2024
-0.004%
Number of holders
900
Number of buys Q2 2024
391
Number of sells Q2 2024
-519
Average buys Q2 2024 %
+0.004%
Average sells Q2 2024 %
-0.006%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 637M $31.8B -$1.76B $49.95 906
2024 Q1 670M $39.6B -$216M $59.28 974
2023 Q4 671M $38.7B +$141M $57.61 940
2023 Q3 668M $35.3B -$558M $52.95 879
2023 Q2 677M $38.9B -$48.3M $57.44 873
2023 Q1 677M $36.6B +$18.1B $54.01 833
2022 Q4 339M $34.4B -$1.06B $101.53 805
2022 Q3 346M $30.1B +$311M $86.96 712
2022 Q2 346M $32.1B +$1.08B $92.70 751
2022 Q1 336M $26.8B +$10.5M $79.90 716
2021 Q4 327M $31.4B -$192M $96.04 738
2021 Q3 338M $30B +$67.2M $88.83 695
2021 Q2 337M $30.8B -$13.3M $91.35 702
2021 Q1 338M $30.8B -$153M $91.09 708
2020 Q4 325M $30B +$91.8M $92.48 684
2020 Q3 339M $27.2B -$216M $80.20 658
2020 Q2 341M $23.6B +$81.5M $69.32 592
2020 Q1 339M $19.1B -$672M $56.26 581
2019 Q4 350M $22.2B -$541M $63.55 576
2019 Q3 357M $20.7B -$317M $58.06 546
2019 Q2 363M $23.2B +$715M $63.83 588
2019 Q1 365M $19.9B +$401M $54.58 586
2018 Q4 358M $17.6B -$139M $49.22 559
2018 Q3 360M $21B -$213M $58.28 577
2018 Q2 364M $20.8B -$250M $57.30 539
2018 Q1 371M $21.2B +$59.1M $57.21 551
2017 Q4 370M $23.4B -$256M $63.29 576
2017 Q3 373M $20.6B -$158M $55.25 500
2017 Q2 378M $18.8B +$122M $49.68 507
2017 Q1 374M $17.2B +$694M $46.17 488
2016 Q4 372M $16.5B +$10.3B $44.34 480
2016 Q3 127M $18.6B -$307M $146.81 465
2016 Q2 129M $20.8B -$1.18B $160.71 467
2016 Q1 137M $18.2B +$623M $133.38 454
2015 Q4 132M $19.6B -$274M $148.96 487
2015 Q3 134M $18.1B +$340M $135.14 436
2015 Q2 130M $17.5B +$17.4B $134.02 410
2015 Q1 2.19K $303K $0 $138.23 1
2014 Q4 2.19K $238K $0 $108.58 1
2014 Q3 2.19K $201K +$201K $91.70 1