FLEX LTD. - ORD (FLEX)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / ORD
Shares, excl. options Q1 2024
385 M
Holdings value Q1 2024
$11 B
Value change Q1 2024
-$360 M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
454
Number of buys Q1 2024
191
Number of sells Q1 2024
-244
Average buys Q1 2024 %
+0.003%
Average sells Q1 2024 %
-0.013%
CUSIP
Y2573F102
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 385 M $11 B -$360 M $28.61 454
2023 Q4 376 M $11.5 B -$146 M $30.46 443
2023 Q3 403 M $10.9 B -$464 M $26.98 441
2023 Q2 420 M $11.6 B -$103 M $27.64 433
2023 Q1 427 M $9.82 B -$174 M $23.01 412
2022 Q4 423 M $9.07 B +$30.9 M $21.46 391
2022 Q3 419 M $6.99 B +$47 M $16.66 352
2022 Q2 437 M $6.31 B -$9.32 M $14.47 339
2022 Q1 422 M $7.82 B -$225 M $18.55 337
2021 Q4 433 M $7.93 B -$246 M $18.33 336
2021 Q3 449 M $7.94 B -$193 M $17.68 314
2021 Q2 461 M $8.23 B -$227 M $17.87 324
2021 Q1 473 M $8.66 B -$258 M $18.31 323
2020 Q4 483 M $8.69 B +$65.8 M $17.98 304
2020 Q3 481 M $5.35 B +$35.9 M $11.14 247
2020 Q2 481 M $4.93 B +$66.4 M $10.25 264
2020 Q1 479 M $4.01 B -$43.7 M $8.38 272
2019 Q4 479 M $6.04 B +$16.1 M $12.62 300
2019 Q3 477 M $5 B -$56.9 M $10.46 290
2019 Q2 484 M $4.63 B +$23.1 M $9.57 304
2019 Q1 486 M $4.86 B +$51.2 M $10.00 302
2018 Q4 485 M $3.69 B -$223 M $7.61 299
2018 Q3 491 M $6.44 B -$13.2 M $13.12 323
2018 Q2 493 M $6.96 B -$84.3 M $14.11 325
2018 Q1 504 M $8.23 B -$207 M $16.33 362
2017 Q4 511 M $9.19 B +$128 M $17.99 344
2017 Q3 509 M $8.43 B -$21.4 M $16.57 314
2017 Q2 509 M $8.3 B +$826 M $16.31 328
2017 Q1 488 M $8.2 B +$255 M $16.80 310
2016 Q4 490 M $7.04 B +$713 M $14.37 319
2016 Q3 443 M $6.02 B -$7.75 M $13.62 318
2016 Q2 443 M $5.23 B +$164 M $11.80 331
2016 Q1 429 M $5.18 B -$147 M $12.06 298
2015 Q4 441 M $4.95 B -$315 M $11.21 289
2015 Q3 472 M $4.97 B -$287 M $10.54 271
2015 Q2 499 M $5.65 B -$228 M $11.31 288
2015 Q1 518 M $6.56 B -$98.6 M $12.68 289
2014 Q4 527 M $5.88 B +$46.9 M $11.18 299
2014 Q3 522 M $5.39 B -$46.3 M $10.32 269
2014 Q2 526 M $5.83 B +$39.4 M $11.07 266
2014 Q1 522 M $4.82 B -$36 M $9.24 259