Pure Storage, Inc. - CL A (PSTG)

Historical Portfolio Holders from Q4 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
262 M
Holdings value Q1 2024
$13.6 B
Value change Q1 2024
+$503 M
Grand Portfolio weight change Q1 2024
+0.001%
Number of holders
528
Number of buys Q1 2024
312
Number of sells Q1 2024
-226
Average buys Q1 2024 %
+0.007%
Average sells Q1 2024 %
-0.006%
CUSIP
74624M102
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 262 M $13.6 B +$503 M $51.99 528
2023 Q4 257 M $9.17 B +$151 M $35.66 460
2023 Q3 258 M $9.19 B +$73.9 M $35.62 463
2023 Q2 252 M $9.28 B +$131 M $36.82 433
2023 Q1 254 M $6.48 B -$334 M $25.51 398
2022 Q4 263 M $7.03 B +$222 M $26.76 422
2022 Q3 256 M $7 B +$261 M $27.37 375
2022 Q2 246 M $6.32 B +$64.7 M $25.71 367
2022 Q1 243 M $8.59 B +$222 M $35.31 376
2021 Q4 238 M $7.73 B +$133 M $32.55 352
2021 Q3 234 M $5.88 B +$104 M $25.16 299
2021 Q2 234 M $4.56 B -$62.3 M $19.53 278
2021 Q1 236 M $5.09 B -$257 M $21.54 288
2020 Q4 249 M $5.63 B +$334 M $22.61 255
2020 Q3 236 M $3.63 B +$234 M $15.39 229
2020 Q2 220 M $3.8 B +$147 M $17.33 246
2020 Q1 211 M $2.6 B -$19.5 M $12.30 208
2019 Q4 208 M $3.56 B +$42.6 M $17.11 232
2019 Q3 206 M $3.49 B +$143 M $16.94 226
2019 Q2 198 M $3.02 B +$133 M $15.27 235
2019 Q1 187 M $4.08 B +$240 M $21.79 227
2018 Q4 169 M $2.72 B -$339 K $16.08 245
2018 Q3 172 M $4.46 B +$390 M $25.95 273
2018 Q2 157 M $3.74 B +$702 M $23.88 235
2018 Q1 129 M $2.58 B +$703 M $19.95 223
2017 Q4 92.7 M $1.47 B +$149 M $15.86 182
2017 Q3 81.3 M $1.3 B +$120 M $15.99 145
2017 Q2 74.6 M $956 M +$63.3 M $12.81 133
2017 Q1 71 M $698 M +$120 M $9.83 132
2016 Q4 70.2 M $794 M +$3.62 M $11.31 134
2016 Q3 98.1 M $1.33 B +$10.6 M $13.55 116
2016 Q2 97.6 M $1.06 B +$165 M $10.90 106
2016 Q1 81.4 M $1.11 B -$62.2 M $13.69 95
2015 Q4 85.7 M $1.33 B +$912 M $15.57 88