Block, Inc. - CL A (SQ)

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
356 M
Holdings value Q1 2024
$30.1 B
Value change Q1 2024
-$433 M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1005
Number of buys Q1 2024
486
Number of sells Q1 2024
-407
Average buys Q1 2024 %
+0.058%
Average sells Q1 2024 %
-0.013%
CUSIP
852234103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 356 M $30.1 B -$433 M $84.58 1,005
2023 Q4 363 M $28 B +$1.9 B $77.35 980
2023 Q3 362 M $16 B -$695 M $44.26 846
2023 Q2 348 M $23.1 B -$1.1 B $66.57 930
2023 Q1 381 M $26.1 B +$529 M $68.65 956
2022 Q4 376 M $23.6 B +$1.25 B $62.84 957
2022 Q3 357 M $19.7 B -$16.1 M $54.99 893
2022 Q2 352 M $21.6 B -$867 M $61.46 948
2022 Q1 365 M $49.5 B +$6.71 B $135.60 1,185
2021 Q4 315 M $50.9 B +$452 M $161.51 1,288
2021 Q3 310 M $74.3 B +$3.94 B $239.84 1,351
2021 Q2 293 M $71.5 B +$749 M $243.80 1,326
2021 Q1 290 M $65.8 B -$838 M $227.05 1,274
2020 Q4 278 M $60.5 B -$1.06 B $217.64 1,209
2020 Q3 292 M $47.4 B -$818 M $162.55 964
2020 Q2 298 M $31.2 B +$2.69 B $104.94 833
2020 Q1 273 M $14.3 B +$1.11 B $52.38 710
2019 Q4 255 M $15.9 B +$141 M $62.56 744
2019 Q3 252 M $15.6 B +$554 M $61.95 678
2019 Q2 242 M $17.5 B +$1.66 B $72.53 734
2019 Q1 223 M $16.7 B +$378 M $74.92 730
2018 Q4 218 M $12.2 B +$845 M $56.09 629
2018 Q3 200 M $19.8 B -$1.02 B $99.01 584
2018 Q2 213 M $13.1 B +$286 M $61.64 519
2018 Q1 211 M $10.4 B +$316 M $49.20 482
2017 Q4 207 M $7.17 B -$215 M $34.67 421
2017 Q3 212 M $6.1 B +$141 M $28.81 320
2017 Q2 206 M $4.84 B +$781 M $23.46 286
2017 Q1 177 M $3.04 B +$951 M $17.28 261
2016 Q4 129 M $1.76 B +$492 M $13.63 229
2016 Q3 93.6 M $1.09 B +$451 M $11.66 185
2016 Q2 57.7 M $522 M +$118 M $9.05 152
2016 Q1 33.4 M $510 M +$89.2 M $15.28 116
2015 Q4 35.4 M $453 M +$452 M $13.09 93