HERBALIFE LTD. - COM SHS (HLF)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM SHS
Shares, excl. options Q1 2024
96 M
Holdings value Q1 2024
$964 M
Value change Q1 2024
-$32.8 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
175
Number of buys Q1 2024
85
Number of sells Q1 2024
-104
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.001%
CUSIP
G4412G101
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 96 M $964 M -$32.8 M $10.05 183
2023 Q4 98 M $1.49 B +$13.7 M $15.26 193
2023 Q3 104 M $1.46 B -$37.9 M $13.99 193
2023 Q2 107 M $1.42 B -$1.93 M $13.24 193
2023 Q1 107 M $1.72 B +$31.7 M $16.10 210
2022 Q4 105 M $1.56 B +$92.3 M $14.88 212
2022 Q3 94.3 M $1.88 B -$27.7 M $19.89 184
2022 Q2 99.3 M $2.03 B -$212 M $20.45 194
2022 Q1 102 M $3.08 B -$29.8 M $30.36 212
2021 Q4 101 M $4.14 B -$39.3 M $40.93 235
2021 Q3 99.9 M $4.24 B -$152 M $42.38 222
2021 Q2 105 M $5.55 B +$173 M $52.73 247
2021 Q1 104 M $4.59 B -$519 M $44.36 237
2020 Q4 115 M $5.53 B -$144 M $48.05 243
2020 Q3 114 M $5.31 B -$634 M $46.65 222
2020 Q2 127 M $5.73 B +$147 M $44.98 205
2020 Q1 126 M $3.67 B -$12.8 M $29.16 186
2019 Q4 125 M $5.96 B -$153 M $47.67 206
2019 Q3 127 M $4.79 B -$341 M $37.86 185
2019 Q2 137 M $5.85 B -$160 M $42.76 216
2019 Q1 143 M $7.55 B +$29.3 M $52.99 262
2018 Q4 143 M $8.39 B +$105 M $58.95 250
2018 Q3 138 M $7.5 B +$99.4 M $54.55 261
2018 Q2 135 M $7.26 B +$3.08 B $53.72 229
2018 Q1 79.8 M $7.77 B -$595 M $97.47 203
2017 Q4 86.4 M $5.85 B -$933 M $67.72 203
2017 Q3 99.2 M $6.73 B -$84.9 M $67.83 197
2017 Q2 100 M $7.15 B -$242 M $71.33 204
2017 Q1 104 M $6.08 B +$455 M $58.14 199
2016 Q4 99.8 M $4.81 B +$325 M $48.14 203
2016 Q3 91.7 M $5.68 B +$6.21 M $61.99 227
2016 Q2 90.3 M $5.29 B -$99.5 M $58.53 232
2016 Q1 91.5 M $5.63 B +$805 M $61.56 219
2015 Q4 79.5 M $4.26 B +$119 M $53.62 203
2015 Q3 77.3 M $4.21 B -$63.9 M $54.50 202
2015 Q2 79.1 M $4.36 B -$159 M $55.09 208
2015 Q1 80.5 M $3.44 B +$21.2 M $42.76 194
2014 Q4 80 M $3.01 B -$143 M $37.70 240
2014 Q3 81.5 M $3.57 B -$106 M $43.75 254
2014 Q2 84.7 M $5.47 B -$1.14 B $64.54 284
2014 Q1 94.1 M $5.39 B -$37.5 M $57.27 305