Atlassian Corp PLC - CL A (TEAMXXXX)

Historical Portfolio Holders from Q4 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
110 K
Holdings value Q1 2024
$21.5 M
Value change Q1 2024
+$606 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
8
Number of buys Q1 2024
2
Number of sells Q1 2024
-1
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
G06242104
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 110 K $21.5 M +$606 K $195.11 8
2023 Q4 57.4 K $13.6 M -$36.1 M $237.87 7
2023 Q3 228 K $46 M +$7.2 M $201.51 9
2023 Q2 1 $211 -$382 K $211.00 1
2023 Q1 199 K $34 M +$1.68 M $171.17 9
2022 Q4 300 $63.2 K -$18.3 B $210.85 2
2022 Q3 87 M $18.3 B -$7.44 B $210.59 502
2022 Q2 127 M $23.8 B +$727 M $187.40 622
2022 Q1 124 M $36.3 B +$600 M $293.83 667
2021 Q4 114 M $43.4 B +$648 M $381.29 740
2021 Q3 114 M $44.5 B -$2.22 B $391.42 683
2021 Q2 113 M $29.2 B +$5.17 M $256.86 618
2021 Q1 120 M $25.4 B +$73.5 M $210.76 570
2020 Q4 120 M $28.1 B -$362 M $233.87 562
2020 Q3 122 M $22.1 B +$932 M $181.79 474
2020 Q2 116 M $21 B +$462 M $180.27 481
2020 Q1 114 M $15.7 B +$692 M $137.26 424
2019 Q4 110 M $13.2 B +$348 M $120.34 388
2019 Q3 107 M $13.4 B +$377 M $125.44 364
2019 Q2 104 M $13.6 B +$944 M $130.84 361
2019 Q1 99.1 M $11.1 B +$274 M $112.39 353
2018 Q4 96.3 M $8.57 B +$225 M $88.98 297
2018 Q3 94.7 M $9.1 B -$387 M $96.14 264
2018 Q2 99.2 M $6.2 B +$537 M $62.52 219
2018 Q1 90.8 M $4.89 B +$181 M $53.92 211
2017 Q4 87.8 M $3.99 B +$328 M $45.52 182
2017 Q3 78.8 M $2.77 B +$199 M $35.15 140
2017 Q2 73.5 M $2.58 B +$334 M $35.18 124
2017 Q1 71.4 M $2.14 B +$156 M $29.95 127
2016 Q4 67.4 M $1.62 B +$170 M $24.08 133
2016 Q3 60.3 M $1.81 B +$337 M $29.97 132
2016 Q2 49.2 M $1.27 B +$282 M $25.90 111
2016 Q1 38.4 M $953 M +$134 M $25.15 92
2015 Q4 33.7 M $999 M +$999 M $30.08 96