Planet Fitness, Inc. - CL A (PLNT)

Historical Portfolio Holders from Q3 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
93.7 M
Holdings value Q1 2024
$5.85 B
Value change Q1 2024
-$93.4 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
312
Number of buys Q1 2024
143
Number of sells Q1 2024
-185
Average buys Q1 2024 %
+0.004%
Average sells Q1 2024 %
-0.003%
CUSIP
72703H101
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 93.7 M $5.85 B -$93.4 M $62.63 312
2023 Q4 94.5 M $6.9 B +$471 M $73.00 335
2023 Q3 88.3 M $4.35 B -$342 M $49.18 321
2023 Q2 88.6 M $5.98 B +$226 M $67.44 313
2023 Q1 86.4 M $6.7 B -$41.1 M $77.67 333
2022 Q4 85.4 M $6.74 B +$179 M $78.80 315
2022 Q3 84.4 M $4.88 B -$66.2 M $57.66 287
2022 Q2 86.7 M $5.89 B -$24.5 M $68.01 289
2022 Q1 83.9 M $7.08 B +$167 M $84.48 324
2021 Q4 82.5 M $7.47 B +$128 M $90.58 319
2021 Q3 84.2 M $6.61 B -$52.2 M $78.55 300
2021 Q2 84.8 M $6.38 B -$35 M $75.25 304
2021 Q1 84.6 M $6.54 B -$197 M $77.30 316
2020 Q4 87.4 M $6.79 B +$105 M $77.63 306
2020 Q3 86.7 M $5.33 B -$110 M $61.62 288
2020 Q2 88.5 M $5.35 B +$238 M $60.57 293
2020 Q1 84.1 M $4.1 B +$52.5 M $48.70 276
2019 Q4 81.5 M $6.08 B -$8.05 M $74.68 302
2019 Q3 81.8 M $4.74 B -$84.8 M $57.87 288
2019 Q2 82.8 M $6 B -$109 M $72.44 332
2019 Q1 88 M $6.05 B +$37.4 M $68.72 300
2018 Q4 87.9 M $4.71 B -$47.3 M $53.62 262
2018 Q3 88.9 M $4.8 B -$92.6 M $54.03 267
2018 Q2 90.7 M $3.98 B -$88.1 M $43.94 233
2018 Q1 94 M $3.55 B -$87.5 M $37.77 223
2017 Q4 96.6 M $3.34 B -$166 M $34.63 201
2017 Q3 101 M $2.72 B -$17 M $26.98 187
2017 Q2 95.6 M $2.23 B +$591 M $23.34 173
2017 Q1 86.5 M $1.66 B +$74.1 M $19.27 171
2016 Q4 85.2 M $1.71 B +$29.5 M $20.10 149
2016 Q3 84 M $1.68 B +$29.7 M $20.07 136
2016 Q2 82.3 M $1.55 B -$19.5 M $18.88 114
2016 Q1 81.8 M $1.33 B +$37.6 M $16.24 85
2015 Q4 79.3 M $1.24 B +$16.9 M $15.63 73
2015 Q3 15 M $257 M +$256 M $17.14 71