VERISIGN INC/CA - COM (VRSN)

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
87.2 M
Holdings value Q1 2024
$16.5 B
Value change Q1 2024
-$552 M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
596
Number of buys Q1 2024
257
Number of sells Q1 2024
-330
Average buys Q1 2024 %
+0.023%
Average sells Q1 2024 %
-0.003%
CUSIP
92343E102
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 87.2 M $16.5 B -$552 M $189.51 596
2023 Q4 90.6 M $18.7 B +$229 M $205.96 635
2023 Q3 91.3 M $18.5 B -$361 M $202.53 575
2023 Q2 91.9 M $20.8 B -$392 M $225.97 603
2023 Q1 94.6 M $20 B -$502 M $211.33 590
2022 Q4 97 M $19.9 B +$140 M $205.44 590
2022 Q3 93.8 M $16.3 B -$325 M $173.70 540
2022 Q2 98.5 M $16.5 B -$75.2 M $167.33 545
2022 Q1 99.2 M $22.1 B -$243 M $222.46 579
2021 Q4 98.9 M $25.1 B +$30.2 M $253.82 573
2021 Q3 99.5 M $20.4 B -$66.5 M $205.01 535
2021 Q2 98.8 M $22.5 B -$67.7 M $227.69 551
2021 Q1 99.8 M $19.8 B -$219 M $198.76 529
2020 Q4 102 M $22.1 B -$185 M $216.40 541
2020 Q3 102 M $20.8 B -$447 M $204.85 549
2020 Q2 104 M $21.5 B -$349 M $206.83 541
2020 Q1 106 M $19.1 B -$44.9 M $180.09 516
2019 Q4 107 M $20.5 B -$249 M $192.68 549
2019 Q3 108 M $20.3 B -$326 M $188.63 525
2019 Q2 109 M $22.8 B +$149 M $209.16 515
2019 Q1 110 M $19.9 B -$379 M $181.56 516
2018 Q4 112 M $16.6 B -$49.9 M $148.29 489
2018 Q3 113 M $18 B -$253 M $160.12 487
2018 Q2 114 M $15.6 B +$94.5 M $137.42 452
2018 Q1 115 M $13.6 B -$538 M $118.56 479
2017 Q4 120 M $13.7 B -$130 M $114.44 452
2017 Q3 121 M $12.8 B +$115 M $106.39 412
2017 Q2 120 M $11.1 B -$313 M $92.96 398
2017 Q1 124 M $10.8 B +$382 M $87.11 395
2016 Q4 125 M $9.51 B -$322 M $76.07 410
2016 Q3 129 M $10.1 B -$188 M $78.24 400
2016 Q2 131 M $11.3 B -$45 M $86.46 408
2016 Q1 131 M $11.6 B -$169 M $88.54 412
2015 Q4 134 M $11.7 B +$446 M $87.36 399
2015 Q3 129 M $9.09 B +$156 M $70.56 364
2015 Q2 133 M $7.75 B -$475 M $61.72 349
2015 Q1 134 M $8.97 B +$5.08 M $66.97 358
2014 Q4 134 M $7.65 B -$162 M $57.00 364
2014 Q3 137 M $7.54 B -$237 M $55.12 355
2014 Q2 141 M $6.89 B -$544 M $48.81 351
2014 Q1 151 M $8.14 B -$265 M $53.91 349