Restaurant Brands International Inc. - COM (QSR)

Historical Portfolio Holders from Q4 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
249 M
Holdings value Q1 2024
$19.8 B
Value change Q1 2024
-$477 M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
430
Number of buys Q1 2024
190
Number of sells Q1 2024
-199
Average buys Q1 2024 %
+0.007%
Average sells Q1 2024 %
-0.002%
CUSIP
76131D103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 249 M $19.8 B -$477 M $79.45 438
2023 Q4 234 M $18.3 B +$236 M $78.13 441
2023 Q3 252 M $16.8 B +$214 M $66.62 425
2023 Q2 248 M $19.2 B -$544 M $77.52 415
2023 Q1 256 M $17.2 B +$717 M $67.14 416
2022 Q4 246 M $15.9 B +$389 M $64.67 403
2022 Q3 231 M $12.3 B +$127 M $53.18 370
2022 Q2 233 M $11.7 B +$101 M $50.15 352
2022 Q1 237 M $13.8 B -$619 M $58.39 362
2021 Q4 246 M $14.9 B +$75.9 M $60.68 368
2021 Q3 245 M $15.1 B +$369 M $61.19 360
2021 Q2 238 M $15.5 B -$378 M $64.44 355
2021 Q1 243 M $16 B +$76.9 M $65.00 351
2020 Q4 214 M $13.1 B -$294 M $61.11 351
2020 Q3 216 M $12.4 B +$139 M $57.51 324
2020 Q2 233 M $12.7 B +$865 M $54.63 347
2020 Q1 230 M $9.17 B -$79.2 M $40.03 305
2019 Q4 229 M $14.6 B -$255 M $63.77 374
2019 Q3 231 M $16.4 B +$2.3 B $71.14 373
2019 Q2 198 M $13.8 B +$89.7 M $69.54 313
2019 Q1 202 M $13.2 B -$304 M $65.11 301
2018 Q4 208 M $10.9 B +$327 M $52.30 288
2018 Q3 201 M $11.9 B +$254 M $59.28 272
2018 Q2 195 M $11.8 B +$622 M $60.30 279
2018 Q1 192 M $10.9 B +$140 M $56.92 291
2017 Q4 189 M $11.6 B +$100 M $61.48 293
2017 Q3 188 M $12 B +$409 M $63.88 272
2017 Q2 180 M $11.3 B +$241 M $62.54 262
2017 Q1 177 M $9.88 B +$173 M $55.74 254
2016 Q4 175 M $8.32 B +$254 M $47.66 230
2016 Q3 170 M $7.55 B -$92.9 M $44.58 215
2016 Q2 172 M $7.14 B +$125 M $41.60 208
2016 Q1 158 M $6.14 B -$404 M $38.83 198
2015 Q4 179 M $6.67 B +$536 M $37.36 200
2015 Q3 164 M $5.88 B +$196 M $35.92 200
2015 Q2 150 M $5.75 B +$12 M $38.21 206
2015 Q1 157 M $6.04 B +$174 M $38.41 218
2014 Q4 153 M $5.99 B +$5.86 B $39.04 249