Wayfair Inc. - CL A (W)

Historical Portfolio Holders from Q4 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
108 M
Holdings value Q1 2024
$7.31 B
Value change Q1 2024
+$281 M
Grand Portfolio weight change Q1 2024
+0.001%
Number of holders
338
Number of buys Q1 2024
187
Number of sells Q1 2024
-152
Average buys Q1 2024 %
+0.008%
Average sells Q1 2024 %
-0.003%
CUSIP
94419L101
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 108 M $7.31 B +$281 M $67.88 338
2023 Q4 103 M $6.33 B +$254 M $61.70 349
2023 Q3 105 M $6.39 B +$191 M $60.57 325
2023 Q2 102 M $6.61 B +$382 M $65.01 310
2023 Q1 98.5 M $3.38 B -$21.4 M $34.34 280
2022 Q4 97.8 M $3.22 B +$129 M $32.89 283
2022 Q3 93.8 M $3.05 B -$65.5 M $32.55 274
2022 Q2 95.8 M $4.17 B -$89.5 M $43.56 285
2022 Q1 89.4 M $9.91 B -$155 M $110.78 342
2021 Q4 89.5 M $17 B -$226 M $189.97 405
2021 Q3 89.9 M $23 B +$667 M $255.51 411
2021 Q2 87.1 M $27.5 B +$1.55 B $315.71 440
2021 Q1 87 M $27.4 B +$1.57 B $314.75 438
2020 Q4 73.8 M $16.7 B -$225 M $225.81 388
2020 Q3 76.5 M $22.3 B -$98.7 M $291.01 410
2020 Q2 76.7 M $15.2 B -$1.02 B $197.61 361
2020 Q1 82.6 M $4.41 B -$36.2 M $53.44 257
2019 Q4 80.5 M $7.28 B +$266 M $90.37 293
2019 Q3 75.8 M $8.5 B +$508 M $112.12 295
2019 Q2 69.8 M $10.2 B -$364 M $146.00 319
2019 Q1 71.6 M $10.6 B +$61.3 M $148.45 311
2018 Q4 73 M $6.57 B +$604 M $90.08 280
2018 Q3 64.4 M $9.5 B -$79.8 M $147.67 265
2018 Q2 65 M $7.72 B -$37.1 M $118.76 230
2018 Q1 66.8 M $4.51 B +$220 M $67.53 210
2017 Q4 62.5 M $5.02 B +$339 M $80.27 207
2017 Q3 58.5 M $3.95 B +$24.7 M $67.40 205
2017 Q2 57.5 M $4.42 B -$306 M $76.88 185
2017 Q1 62.3 M $2.52 B +$263 M $40.49 146
2016 Q4 58.4 M $2.04 B -$78.8 M $35.05 144
2016 Q3 60.7 M $2.39 B -$15.8 M $39.37 155
2016 Q2 61.1 M $2.38 B +$201 M $39.00 152
2016 Q1 55.2 M $2.38 B -$16.7 M $43.22 150
2015 Q4 55.4 M $2.64 B +$42.6 M $47.62 142
2015 Q3 54.9 M $1.93 B +$199 M $35.06 132
2015 Q2 48.9 M $1.84 B +$184 M $37.64 105
2015 Q1 44.4 M $1.43 B +$155 M $32.12 90
2014 Q4 37.4 M $741 M +$431 M $19.85 84