SYNOPSYS INC - COM (SNPS)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
125 M
Holdings value Q1 2024
$71.7 B
Value change Q1 2024
-$826 M
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1181
Number of buys Q1 2024
646
Number of sells Q1 2024
-490
Average buys Q1 2024 %
+0.019%
Average sells Q1 2024 %
-0.01%
CUSIP
871607107
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 125 M $71.7 B -$826 M $571.50 1,181
2023 Q4 128 M $65.8 B -$1.66 B $514.91 1,153
2023 Q3 127 M $58.4 B -$288 M $458.97 1,011
2023 Q2 125 M $54.5 B -$2.63 B $435.41 978
2023 Q1 131 M $50.6 B -$23.9 M $386.25 898
2022 Q4 132 M $42.1 B -$78.9 M $319.29 887
2022 Q3 118 M $36.1 B -$223 M $305.51 837
2022 Q2 114 M $34.6 B +$108 M $303.70 789
2022 Q1 117 M $38.9 B +$377 M $333.27 795
2021 Q4 116 M $42.8 B -$482 M $368.50 806
2021 Q3 118 M $35.3 B -$16 M $299.41 747
2021 Q2 118 M $32.6 B +$138 M $275.79 722
2021 Q1 131 M $32.4 B -$421 M $247.78 693
2020 Q4 118 M $30.5 B -$147 M $259.24 674
2020 Q3 135 M $28.9 B -$295 M $213.98 635
2020 Q2 134 M $26.1 B +$261 M $195.00 611
2020 Q1 131 M $16.8 B +$315 M $128.79 577
2019 Q4 131 M $18.3 B -$252 M $139.20 600
2019 Q3 133 M $18.3 B -$248 M $137.25 577
2019 Q2 129 M $16.6 B +$96.8 M $128.69 560
2019 Q1 133 M $15.3 B +$282 M $115.15 511
2018 Q4 134 M $11.3 B +$1.99 M $84.24 508
2018 Q3 133 M $13.1 B +$111 M $98.61 531
2018 Q2 129 M $11.1 B +$133 M $85.57 496
2018 Q1 132 M $11 B -$80.3 M $83.24 500
2017 Q4 132 M $11.3 B -$174 M $85.24 495
2017 Q3 137 M $11 B +$180 M $80.53 455
2017 Q2 135 M $9.86 B -$42.3 M $72.93 442
2017 Q1 138 M $9.93 B +$1.46 B $72.13 431
2016 Q4 133 M $7.85 B -$202 M $58.86 394
2016 Q3 137 M $8.1 B -$56.6 M $59.35 390
2016 Q2 139 M $7.5 B +$59.7 M $54.08 354
2016 Q1 138 M $6.66 B -$49.3 M $48.44 351
2015 Q4 131 M $5.98 B +$1.93 M $45.61 342
2015 Q3 132 M $6.08 B -$118 M $46.18 341
2015 Q2 133 M $6.72 B +$50.6 M $50.65 319
2015 Q1 140 M $6.46 B -$99.6 M $46.32 316
2014 Q4 142 M $6.17 B -$592 K $43.47 318
2014 Q3 142 M $5.62 B +$78.5 M $39.70 304
2014 Q2 140 M $5.42 B +$18.3 M $38.82 299
2014 Q1 138 M $5.31 B -$30 M $38.41 299