Alibaba Group Holding Ltd - Ordinary shares, par value US$0.000003125 per share (BABA)

Historical Holders from Q1 2014 to Q1 2025

Symbol
BABA on NYSE
CUSIP
01609W102
Type / Class
Equity / Ordinary shares, par value US$0.000003125 per share
Shares outstanding
19.1B
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
325M
Holdings value
$27.5B
% of all portfolios
0.065%
Grand Portfolio weight change
-0.006%
Number of holders
1184
Number of buys
494
Number of sells
-623
Average Value change %
-0.03%
Average buys %
+0.018%
Average sells %
-0.049%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Alibaba Group Holding Ltd - Ordinary shares, par value US$0.000003125 per share (BABA)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
SOFTBANK GROUP CORP. 8% $212B 1.53B SoftBank Group Corp. Dec 31, 2024

Institutional Holders of Alibaba Group Holding Ltd - Ordinary shares, par value US$0.000003125 per share (BABA)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 8.73M $1.11B -$182M $132.23 200
2024 Q4 325M $27.5B -$3.36B $84.79 1,184
2024 Q3 353M $37.5B +$1.43B $106.12 1,227
2024 Q2 344M $24.7B +$835M $72.00 1,097
2024 Q1 332M $24B -$325M $72.36 1,103
2023 Q4 326M $25.3B -$1.02B $77.51 1,120
2023 Q3 348M $30.2B +$481M $86.74 1,121
2023 Q2 358M $29.8B -$1.45B $83.35 1,112
2023 Q1 346M $35.3B -$871M $102.18 1,207
2022 Q4 373M $32.9B +$862M $88.09 1,118
2022 Q3 347M $27.8B -$2.46B $79.99 1,063
2022 Q2 388M $43.9B -$1.08B $113.68 1,253
2022 Q1 386M $42B -$6.33B $108.80 1,271
2021 Q4 440M $52.3B -$13.3B $118.79 1,361
2021 Q3 572M $84.6B -$13.2B $148.05 1,490
2021 Q2 651M $147B -$50.8B $226.78 1,861
2021 Q1 885M $201B -$28B $226.73 1,840
2020 Q4 982M $228B -$23.1B $232.73 1,886
2020 Q3 1.11B $324B -$23.5B $293.98 1,818
2020 Q2 1.19B $256B -$5.06B $215.70 1,729
2020 Q1 1.22B $237B -$1.96B $194.48 1,722
2019 Q4 1.19B $252B +$2.38B $212.10 1,719
2019 Q3 1.21B $202B +$14.7B $167.23 1,498
2019 Q2 1.09B $184B +$17B $169.45 1,475
2019 Q1 1.04B $191B +$5.73B $182.45 1,465
2018 Q4 1.01B $139B +$2.47B $137.07 1,365
2018 Q3 980M $161B +$203M $164.76 1,357
2018 Q2 989M $183B +$5.13B $185.53 1,336
2018 Q1 965M $177B +$1.28B $183.54 1,295
2017 Q4 960M $166B -$1.79B $172.43 1,202
2017 Q3 966M $167B +$3.03B $172.71 1,082
2017 Q2 950M $134B +$8.73B $140.90 963
2017 Q1 888M $95.8B +$9.53B $107.83 876
2016 Q4 849M $74.6B -$200M $87.81 802
2016 Q3 839M $88.7B +$12.1B $105.79 781
2016 Q2 717M $57.1B +$6.2B $79.53 682
2016 Q1 632M $49.9B -$1.17B $79.03 713
2015 Q4 655M $53.3B +$9.35B $81.27 746
2015 Q3 544M $32.1B -$111M $58.97 589
2015 Q2 536M $44.1B +$1.62B $82.27 688
2015 Q1 516M $43B +$7.27B $83.24 670
2014 Q4 424M $44B +$2.43B $103.94 684
2014 Q3 395M $35.1B +$35B $88.85 490
2014 Q2 75.3K $6.2M $0 $82.27 1
2014 Q1 200 $16.6K $0 $83.24 1