COGNIZANT TECHNOLOGY SOLUTIONS CORP - CL A (CTSH)

Historical Holders from Q1 2014 to Q1 2025

Symbol
CTSH on Nasdaq
CUSIP
192446102
Type / Class
Equity / CL A
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
467M
Holdings value
$35.9B
% of all portfolios
0.018%
Grand Portfolio weight change
+0.001%
Number of holders
970
Number of buys
417
Number of sells
-420
Average Value change %
0%
Average buys %
+0.003%
Average sells %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of COGNIZANT TECHNOLOGY SOLUTIONS CORP - CL A (CTSH)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 7.89M $602M +$3.45M $76.50 168
2024 Q4 467M $35.9B +$442M $76.90 970
2024 Q3 458M $35.3B -$1.37B $77.18 940
2024 Q2 475M $32.3B +$1.08B $68.00 890
2024 Q1 451M $33B -$240M $73.29 913
2023 Q4 457M $34.5B +$440M $75.53 889
2023 Q3 450M $30.5B -$592M $67.74 829
2023 Q2 441M $28.8B -$245M $65.28 829
2023 Q1 447M $27.2B -$779M $60.93 812
2022 Q4 471M $26.9B +$98.8M $57.19 837
2022 Q3 444M $25.5B -$26.7M $57.44 853
2022 Q2 468M $31.6B -$619M $67.49 888
2022 Q1 475M $42.5B -$442M $89.67 937
2021 Q4 479M $42.5B +$419M $88.72 927
2021 Q3 475M $35.3B +$163M $74.21 857
2021 Q2 473M $32.8B -$529M $69.26 864
2021 Q1 479M $37.4B -$97.5M $78.12 889
2020 Q4 480M $39.3B -$387M $81.95 880
2020 Q3 477M $33.1B -$984M $69.42 827
2020 Q2 485M $27.6B +$496M $56.82 799
2020 Q1 485M $22.6B +$9.84M $46.47 790
2019 Q4 487M $30.2B -$660M $62.02 891
2019 Q3 499M $30B -$633M $60.27 879
2019 Q2 509M $32.3B +$288M $63.39 907
2019 Q1 510M $37B +$410M $72.45 1,029
2018 Q4 502M $31.8B +$228M $63.48 974
2018 Q3 504M $38.8B -$795M $77.15 987
2018 Q2 512M $40.4B +$103M $78.99 991
2018 Q1 517M $41.5B -$209M $80.50 1,024
2017 Q4 523M $37.1B +$566M $71.02 998
2017 Q3 513M $37.2B -$636M $72.54 905
2017 Q2 523M $34.7B -$788M $66.40 867
2017 Q1 513M $30.5B +$1.92B $59.52 843
2016 Q4 539M $30.2B +$748M $56.03 864
2016 Q3 522M $24.9B -$737M $47.71 817
2016 Q2 524M $30B -$383M $57.24 865
2016 Q1 540M $33.9B -$204M $62.70 858
2015 Q4 542M $32.6B -$132M $60.02 863
2015 Q3 543M $34B -$1.42M $62.61 820
2015 Q2 534M $32.6B -$247M $61.09 801
2015 Q1 548M $34.2B +$119M $62.39 775
2014 Q4 549M $28.9B +$966K $52.66 751
2014 Q3 551M $24.7B -$417M $44.77 693
2014 Q2 559M $27.3B -$199M $48.91 693
2014 Q1 562M $28.5B +$13.9B $50.60 697