NEWS CORP - CL B (NWS)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL B
Shares, excl. options Q2 2024
83.9M
Holdings value Q2 2024
$2.38B
Value change Q2 2024
+$67.2M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
278
Number of buys Q2 2024
145
Number of sells Q2 2024
-108
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 83.9M $2.38B +$67.2M $28.39 278
2024 Q1 81.4M $2.2B -$58M $27.06 255
2023 Q4 82.4M $2.12B +$66.1M $25.72 220
2023 Q3 80.9M $1.69B +$82.5M $20.87 204
2023 Q2 77.1M $1.52B -$13.5M $19.72 197
2023 Q1 76.7M $1.34B +$32M $17.43 207
2022 Q4 75.1M $1.38B +$64.8M $18.44 221
2022 Q3 65.8M $1.02B -$10.4M $15.42 185
2022 Q2 66.7M $1.06B +$20.9M $15.89 194
2022 Q1 65.3M $1.47B -$33.9M $22.52 196
2021 Q4 67M $1.51B -$117M $22.50 200
2021 Q3 72M $1.67B -$40.6M $23.23 201
2021 Q2 73.8M $1.8B +$68.3M $24.35 207
2021 Q1 72M $1.69B +$155M $23.46 208
2020 Q4 58.5M $1.04B +$23.8M $17.77 172
2020 Q3 64.2M $898M +$26.2M $13.98 175
2020 Q2 61.3M $733M -$10.7M $11.95 172
2020 Q1 55.6M $500M +$16.1M $8.99 166
2019 Q4 61M $885M +$34.2M $14.51 161
2019 Q3 61.4M $877M -$4.49M $14.29 163
2019 Q2 62.4M $871M +$76.5M $13.96 170
2019 Q1 58.3M $728M +$63.1M $12.49 184
2018 Q4 52.1M $602M -$7.02M $11.55 173
2018 Q3 56.7M $771M -$1.19M $13.60 168
2018 Q2 56.8M $900M -$5.26M $15.85 195
2018 Q1 58.7M $945M -$2.38M $16.10 192
2017 Q4 58.9M $977M +$41.9M $16.60 196
2017 Q3 56.4M $770M -$8.91M $13.65 181
2017 Q2 57.1M $807M -$32.6M $14.15 176
2017 Q1 59.4M $801M +$37M $13.50 173
2016 Q4 62.2M $734M -$48.3M $11.80 180
2016 Q3 55.5M $789M -$78.9M $14.22 173
2016 Q2 63.2M $737M -$52.9M $11.67 169
2016 Q1 67.5M $894M -$100M $13.25 167
2015 Q4 75M $1.05B +$7.88M $13.96 173
2015 Q3 74.9M $960M +$75.5M $12.82 164
2015 Q2 67.2M $957M -$14.9M $14.24 140
2015 Q1 67.4M $1.07B -$103M $15.87 123
2014 Q4 74.2M $1.12B -$271M $15.08 129
2014 Q3 88.5M $1.43B +$26.5M $16.13 118
2014 Q2 86.2M $1.5B +$3.16M $17.45 132
2014 Q1 85M $1.42B +$82.2M $16.70 126