RH - COM (RH)

Historical Portfolio Holders from Q3 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
15.1 M
Holdings value Q1 2024
$5.26 B
Value change Q1 2024
-$241 M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
385
Number of buys Q1 2024
183
Number of sells Q1 2024
-179
Average buys Q1 2024 %
+0.006%
Average sells Q1 2024 %
-0.01%
CUSIP
74967X103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 15.1 M $5.26 B -$241 M $348.26 391
2023 Q4 16 M $4.67 B +$185 M $291.48 398
2023 Q3 15.7 M $4.14 B -$952 M $264.36 393
2023 Q2 18.5 M $6.1 B +$24.8 M $329.59 370
2023 Q1 18.8 M $4.58 B -$903 M $243.55 395
2022 Q4 22.1 M $5.91 B +$303 M $267.19 407
2022 Q3 20.9 M $5.13 B +$64.9 M $246.07 391
2022 Q2 20.5 M $4.36 B -$42 M $212.26 397
2022 Q1 20.3 M $6.64 B -$479 M $326.09 438
2021 Q4 20.5 M $11 B -$47.2 M $535.94 460
2021 Q3 17.7 M $11.8 B +$432 M $666.91 467
2021 Q2 17.1 M $11.6 B -$43 M $679.00 443
2021 Q1 17.3 M $10.3 B -$150 M $596.60 400
2020 Q4 20.5 M $9.18 B -$76.7 M $447.52 362
2020 Q3 20.7 M $7.92 B +$224 M $382.62 333
2020 Q2 20.3 M $5.07 B +$6.86 M $248.90 297
2020 Q1 20.8 M $2.09 B -$193 M $100.47 254
2019 Q4 22.3 M $4.75 B +$263 M $213.50 310
2019 Q3 21 M $3.58 B +$196 M $170.83 272
2019 Q2 20 M $2.31 B -$417 M $115.60 237
2019 Q1 24.6 M $2.53 B -$71.4 M $102.95 268
2018 Q4 24.7 M $2.96 B -$254 M $119.82 259
2018 Q3 27 M $3.54 B +$115 M $131.01 230
2018 Q2 26 M $3.63 B +$125 M $139.70 241
2018 Q1 25.1 M $2.39 B +$106 M $95.28 218
2017 Q4 24.1 M $2.08 B -$97.1 M $86.21 220
2017 Q3 25.4 M $1.78 B -$392 M $70.32 190
2017 Q2 31.6 M $2.04 B -$864 M $64.52 189
2017 Q1 46.1 M $2.13 B +$1.86 B $46.26 188
2016 Q4 5.94 M $182 M +$182 M $30.70 25
2016 Q3 100 $3.46 K +$3.46 K $34.58 1