PTC THERAPEUTICS, INC. - COM (PTCT)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
82.8 M
Holdings value Q1 2024
$2.41 B
Value change Q1 2024
-$417 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
170
Number of buys Q1 2024
78
Number of sells Q1 2024
-87
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
69366J200
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 82.8 M $2.41 B -$417 K $29.09 172
2023 Q4 83 M $2.29 B +$48.7 M $27.56 170
2023 Q3 81 M $1.81 B -$59.6 M $22.41 174
2023 Q2 80.3 M $3.27 B +$72.1 M $40.67 199
2023 Q1 78.3 M $3.79 B +$91 M $48.44 198
2022 Q4 75.8 M $2.89 B +$9.59 M $38.17 193
2022 Q3 74.2 M $3.73 B +$99.2 M $50.20 195
2022 Q2 73.8 M $2.96 B +$12.6 M $40.06 170
2022 Q1 73.5 M $2.74 B -$36.8 M $37.31 165
2021 Q4 75 M $2.99 B +$33.2 M $39.83 165
2021 Q3 74.2 M $2.76 B +$31.3 M $37.21 174
2021 Q2 73.8 M $3.12 B +$4.07 M $42.27 174
2021 Q1 73.7 M $3.5 B +$45.9 M $47.35 196
2020 Q4 72.8 M $4.44 B +$102 M $61.03 203
2020 Q3 70.9 M $3.31 B +$115 M $46.75 184
2020 Q2 68 M $3.43 B +$247 M $50.74 194
2020 Q1 63.5 M $2.83 B +$127 M $44.61 192
2019 Q4 61 M $2.93 B +$23.6 M $48.03 202
2019 Q3 61.8 M $2.09 B +$115 M $33.82 181
2019 Q2 58.3 M $2.62 B +$35.4 M $45.00 172
2019 Q1 58.6 M $2.21 B +$365 M $37.64 172
2018 Q4 48.8 M $1.67 B +$32.7 M $34.32 160
2018 Q3 46 M $2.16 B +$195 M $47.00 175
2018 Q2 42.6 M $1.44 B +$13.2 M $33.73 161
2018 Q1 42.6 M $1.15 B +$141 M $27.06 145
2017 Q4 37.5 M $626 M +$15.9 M $16.68 118
2017 Q3 35.6 M $713 M +$44.6 M $20.01 128
2017 Q2 33.1 M $606 M +$68 M $18.33 108
2017 Q1 31.4 M $309 M +$57.2 M $9.84 111
2016 Q4 28.6 M $312 M -$24.4 M $10.91 117
2016 Q3 29.2 M $409 M +$31.6 M $14.01 112
2016 Q2 28.5 M $202 M -$3.58 M $7.02 113
2016 Q1 28.3 M $182 M -$209 M $6.44 107
2015 Q4 36.3 M $1.17 B +$118 M $32.40 146
2015 Q3 32.6 M $869 M -$27.5 M $26.70 160
2015 Q2 32 M $1.54 B +$90.3 M $48.13 152
2015 Q1 30.2 M $1.84 B +$209 M $60.85 157
2014 Q4 27.1 M $1.41 B +$218 M $51.77 129
2014 Q3 22.8 M $1 B +$106 M $44.01 98
2014 Q2 22.9 M $599 M +$25.1 M $26.14 82
2014 Q1 23 M $600 M +$234 M $26.14 63