VISHAY INTERTECHNOLOGY INC - COM (VSH)

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
118 M
Holdings value Q1 2024
$2.68 B
Value change Q1 2024
-$207 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
277
Number of buys Q1 2024
127
Number of sells Q1 2024
-157
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.001%
CUSIP
928298108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 118 M $2.68 B -$207 M $22.68 277
2023 Q4 127 M $3.05 B +$292 M $23.97 306
2023 Q3 115 M $2.84 B +$48.5 M $24.72 297
2023 Q2 115 M $3.37 B -$177 M $29.40 303
2023 Q1 119 M $2.69 B +$27.1 M $22.62 273
2022 Q4 118 M $2.55 B -$18.8 M $21.57 294
2022 Q3 119 M $2.12 B -$23.2 M $17.79 257
2022 Q2 122 M $2.17 B -$43.9 M $17.82 264
2022 Q1 121 M $2.37 B -$29.9 M $19.60 261
2021 Q4 122 M $2.67 B -$26 M $21.87 265
2021 Q3 123 M $2.47 B -$34.5 M $20.09 257
2021 Q2 125 M $2.81 B +$50.1 M $22.55 266
2021 Q1 122 M $2.95 B +$4.61 M $24.08 264
2020 Q4 122 M $2.52 B +$28.7 M $20.71 247
2020 Q3 121 M $1.88 B -$29.3 M $15.57 238
2020 Q2 124 M $1.89 B -$14.1 M $15.27 234
2020 Q1 124 M $1.79 B -$75.5 M $14.41 220
2019 Q4 129 M $2.75 B +$64.9 M $21.29 234
2019 Q3 126 M $2.14 B -$12.9 M $16.93 238
2019 Q2 127 M $2.09 B -$6.04 M $16.52 245
2019 Q1 130 M $2.41 B +$11.2 M $18.47 267
2018 Q4 130 M $2.34 B -$273 M $18.01 254
2018 Q3 144 M $2.93 B +$25.2 M $20.35 282
2018 Q2 142 M $3.29 B -$253 M $23.20 266
2018 Q1 155 M $2.88 B -$79.7 M $18.60 251
2017 Q4 162 M $3.36 B +$28.4 M $20.75 278
2017 Q3 160 M $3.02 B +$32.4 M $18.80 255
2017 Q2 159 M $2.63 B +$72.7 M $16.60 251
2017 Q1 152 M $2.5 B +$214 M $16.45 231
2016 Q4 152 M $2.46 B +$43.6 M $16.20 246
2016 Q3 153 M $2.15 B +$17.7 M $14.09 242
2016 Q2 152 M $1.88 B -$33.6 M $12.39 234
2016 Q1 152 M $1.85 B -$32.1 M $12.21 230
2015 Q4 157 M $1.89 B +$21.4 M $12.05 216
2015 Q3 149 M $1.44 B +$30.8 M $9.69 221
2015 Q2 150 M $1.75 B +$18.3 M $11.68 224
2015 Q1 149 M $2.06 B +$12 M $13.82 238
2014 Q4 141 M $2 B +$2.16 M $14.15 248
2014 Q3 149 M $2.12 B +$55.5 M $14.29 256
2014 Q2 146 M $2.26 B -$288 M $15.49 245
2014 Q1 144 M $2.14 B -$1.79 B $14.88 226