FISERV INC - Stock (FI)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / Stock
Shares, excl. options Q1 2024
22.4 K
Holdings value Q1 2024
$447 K
Value change Q1 2024
+$437 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
5
Number of buys Q1 2024
3
Number of sells Q1 2024
-1
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
N33462107
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 23.1 K $460 K +$437 K $19.94 5
2023 Q4 1.19 K $18.9 K -$1.16 K $15.92 4
2023 Q3 1.25 K $29 K -$537 K $23.23 4
2023 Q2 31.5 K $559 K -$2.06 M $17.72 7
2023 Q1 143 K $2.62 M +$92.5 K $18.36 1
2022 Q4 138 K $2.49 M +$2.49 M $18.13 1
2022 Q1 570 $10 K -$25.3 M $17.54 1
2021 Q4 1.76 M $25.3 M -$356 M $14.35 4
2021 Q3 130 M $382 M +$17.1 M $2.94 90
2021 Q2 135 M $408 M +$33.5 M $3.03 107
2021 Q1 123 M $438 M +$4.59 M $3.55 104
2020 Q4 123 M $337 M +$13.5 M $2.74 94
2020 Q3 118 M $181 M +$15.1 M $1.54 90
2020 Q2 97.9 M $218 M +$11.5 M $2.23 100
2020 Q1 92.7 M $240 M +$6.05 M $2.59 85
2019 Q4 87 M $449 M +$13.5 M $5.17 97
2019 Q3 84.4 M $401 M +$18 M $4.75 93
2019 Q2 87.5 M $478 M -$7.02 M $5.46 105
2019 Q1 87.3 M $542 M -$33.1 M $6.21 96
2018 Q4 91.9 M $480 M -$10.3 M $5.22 98
2018 Q3 91.7 M $795 M +$127 M $8.68 87
2018 Q2 77.1 M $602 M +$21.4 M $7.80 77
2018 Q1 75.4 M $409 M +$5.98 M $5.43 93
2017 Q4 74.1 M $493 M +$21.7 M $6.65 91
2017 Q3 69.9 M $540 M +$41.4 M $7.72 93
2017 Q2 64.5 M $535 M +$2.25 M $8.29 104
2017 Q1 63.2 M $667 M +$96.3 M $10.57 114
2016 Q4 56.8 M $699 M +$126 M $12.31 122
2016 Q3 47.7 M $621 M +$62.5 M $13.00 128
2016 Q2 42.8 M $625 M +$79.3 M $14.61 138
2016 Q1 37 M $609 M +$16.6 M $16.48 133
2015 Q4 35.9 M $599 M +$8.18 M $16.69 137
2015 Q3 35.3 M $541 M +$72.1 M $15.33 128
2015 Q2 30.4 M $572 M -$25.8 M $18.84 124
2015 Q1 31.1 M $582 M -$4.33 M $18.70 112
2014 Q4 31.9 M $530 M -$56.6 M $16.63 105
2014 Q3 34.1 M $637 M +$36.5 M $18.70 98
2014 Q2 31.3 M $771 M -$10.8 M $24.60 117
2014 Q1 31.6 M $783 M +$29.9 M $24.78 99