Sunrun Inc. - COM (RUN)

Historical Portfolio Holders from Q3 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
219 M
Holdings value Q1 2024
$2.89 B
Value change Q1 2024
+$215 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
380
Number of buys Q1 2024
185
Number of sells Q1 2024
-177
Average buys Q1 2024 %
+0.004%
Average sells Q1 2024 %
-0.002%
CUSIP
86771W105
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 219 M $2.89 B +$215 M $13.18 380
2023 Q4 207 M $4.06 B +$176 M $19.63 373
2023 Q3 202 M $2.54 B +$23.4 M $12.56 378
2023 Q2 198 M $3.54 B -$28.1 M $17.86 382
2023 Q1 198 M $3.99 B +$192 M $20.15 386
2022 Q4 189 M $4.53 B +$110 M $24.02 424
2022 Q3 184 M $5.08 B -$121 M $27.59 419
2022 Q2 189 M $4.4 B -$142 M $23.36 376
2022 Q1 194 M $5.89 B -$187 M $30.37 420
2021 Q4 197 M $6.76 B -$25 M $34.30 416
2021 Q3 199 M $8.74 B +$243 M $44.00 459
2021 Q2 193 M $10.7 B +$149 M $55.78 465
2021 Q1 189 M $11.4 B +$280 M $60.48 428
2020 Q4 183 M $12.7 B +$4.1 B $69.38 388
2020 Q3 123 M $9.51 B +$1.01 B $77.07 279
2020 Q2 112 M $2.2 B +$46.4 M $19.72 198
2020 Q1 110 M $1.11 B +$88.5 M $10.10 195
2019 Q4 102 M $1.41 B -$29.4 M $13.81 187
2019 Q3 103 M $1.72 B +$80 M $16.71 168
2019 Q2 95.9 M $1.8 B +$76.8 M $18.76 171
2019 Q1 95.7 M $1.35 B -$16.5 M $14.06 155
2018 Q4 97.4 M $1.06 B +$61.5 M $10.89 163
2018 Q3 91.2 M $1.13 B +$12.7 M $12.44 146
2018 Q2 90 M $1.18 B +$34.6 M $13.15 133
2018 Q1 88.5 M $790 M +$72.4 M $8.93 116
2017 Q4 86.9 M $512 M +$17.6 M $5.90 117
2017 Q3 83.4 M $463 M +$15.6 M $5.55 121
2017 Q2 79 M $563 M +$26.4 M $7.12 113
2017 Q1 75.9 M $410 M +$30.1 M $5.40 99
2016 Q4 76.7 M $407 M +$20.9 M $5.31 99
2016 Q3 72.4 M $456 M +$22 M $6.30 96
2016 Q2 68.9 M $409 M +$59.3 M $5.93 99
2016 Q1 58.9 M $382 M -$16.2 M $6.48 78
2015 Q4 57.5 M $672 M +$45.4 M $11.77 82
2015 Q3 64.3 M $659 M +$658 M $10.37 64