Fox Corp - CL A COM (FOXA)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A COM
Shares, excl. options Q2 2024
0
Holdings value Q2 2024
$0
Value change Q2 2024
-$117K
Grand Portfolio weight change Q2 2024
0%
Number of holders
0
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 0 $0 -$117K 0
2024 Q1 3.75K $117K $0 $31.27 1
2023 Q4 3.75K $111K -$4.02M $29.67 1
2023 Q3 129K $4.02M -$472K $31.20 1
2023 Q2 144K $4.9M +$4.9M $34.00 1
2023 Q1 0 $0 -$1.08M 0
2022 Q4 35.6K $1.08M +$1.08M $30.37 1
2022 Q3 0 $0 -$700K 0
2022 Q2 21.8K $700K +$82.3K $32.17 1
2022 Q1 19.2K $757K -$9.11M $39.43 1
2021 Q4 250K $9.24M -$4.79M $37.56 2
2021 Q3 380K $15.2M +$6.61M $39.16 2
2021 Q2 215K $8M -$595K $37.67 2
2021 Q1 231K $8.36M -$2.81M $38.22 3
2020 Q4 309K $9.01M +$1.02M $28.89 2
2020 Q3 274K $7.63M -$499K $27.02 2
2020 Q2 292K $7.84M -$2.27M $25.13 2
2020 Q1 377K $8.92M -$1.31M $23.63 3
2019 Q4 432K $16M +$2.2M $37.07 3
2019 Q3 373K $11.8M -$13M $32.09 3
2019 Q2 784K $28.7M +$18M $36.54 7
2019 Q1 5.81M $280M -$46.5B $47.58 6
2018 Q4 982M $47.2B -$370M $48.12 683
2018 Q3 983M $45.5B -$1.79B $46.33 671
2018 Q2 1.02B $50.7B +$1.51B $49.69 682
2018 Q1 991M $36.3B -$112M $36.69 626
2017 Q4 997M $34.4B -$239M $34.53 631
2017 Q3 1.02B $26.8B +$540M $26.38 580
2017 Q2 996M $28.2B -$303M $28.34 589
2017 Q1 1B $32.5B +$2.36B $32.39 633
2016 Q4 994M $27.9B -$235M $28.04 618
2016 Q3 1B $24.3B -$114M $24.22 615
2016 Q2 1B $27.2B -$741M $27.05 608
2016 Q1 1.03B $28.7B -$1.38B $27.88 585
2015 Q4 1.08B $29.3B -$1.3B $27.16 612
2015 Q3 1.11B $30B -$2.13B $26.98 594
2015 Q2 1.16B $37.9B -$2.11B $32.55 632
2015 Q1 1.25B $42.4B -$2.05B $33.84 629
2014 Q4 1.32B $50.5B -$431M $38.41 640
2014 Q3 1.32B $45.3B -$1.49B $34.29 614
2014 Q2 1.37B $48B -$154M $35.15 632
2014 Q1 1.37B $43.8B -$1.02B $31.97 630