TRIP COM GROUP LTD - ADS (CTRP) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / ADS
Symbol
CTRP
Price per share
$75.20
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
30,067
Total reported value
$2,261,038
% of total 13F portfolios
0%
Share change
-242,107
Value change
-$18,206,446
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 30,067 shares of TRIP COM GROUP LTD - ADS (CTRP).

Institutional Holders of TRIP COM GROUP LTD - ADS (CTRP) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 30,067 $2,261,038 -$18,206,446 $75.20 1
2025 Q2 272,174 $15,960,283 -$25,646,556 $58.64 1
2025 Q1 709,530 $45,111,917 +$45,111,917 $63.58 1
2024 Q3 14,193 $929,357 +$76,743 $65.48 1
2024 Q2 13,021 $619,148 -$83,545 $47.55 1
2024 Q1 14,778 $693,974 -$4,978 $46.96 1
2023 Q4 14,884 $535,972 -$9,543 $36.01 1
2023 Q3 15,149 $529,760 +$81,340 $34.97 1
2023 Q2 12,823 $448,805 +$96,110 $35.00 1
2023 Q1 10,077 $379,000 +$379,000 $37.61 1
2020 Q3 0 $0 -$65,000 $75.20 0
2020 Q2 3,185 $65,000 +$44,592 $20.41 1
2020 Q1 1,000 $16,000 -$48,967,975 $16.00 1
2019 Q4 1,460,975 $48,994,000 -$10,479,703,489 $33.54 3
2019 Q3 360,881,276 $10,564,483,423 +$719,267,652 $29.29 336
2019 Q2 343,455,074 $12,673,093,625 +$238,578,980 $36.91 362
2019 Q1 314,986,210 $13,755,097,292 +$185,175,391 $43.69 348
2018 Q4 349,471,314 $9,462,539,875 -$291,416,267 $27.06 318
2018 Q3 353,770,961 $13,144,050,241 -$620,179,145 $37.17 374
2018 Q2 360,642,641 $17,168,993,805 +$199,640,066 $47.63 375
2018 Q1 361,062,552 $16,822,152,011 +$192,593,925 $46.62 348
2017 Q4 354,350,073 $15,618,145,691 -$46,344,776 $44.10 361
2017 Q3 353,669,412 $18,646,479,836 +$268,392,222 $52.74 374
2017 Q2 347,507,956 $18,717,386,332 +$1,056,848,561 $53.86 372
2017 Q1 332,770,696 $16,358,621,855 +$981,044,330 $49.15 360
2016 Q4 327,011,047 $13,078,554,922 -$268,142,649 $40.00 362
2016 Q3 324,315,874 $15,087,589,468 +$1,855,637,247 $46.57 351
2016 Q2 286,384,990 $11,806,595,992 +$315,691,588 $41.20 330
2016 Q1 275,465,827 $12,227,922,978 +$832,124,140 $44.26 352
2015 Q4 259,560,946 $12,027,646,644 +$6,713,417,084 $46.33 342
2015 Q3 108,118,268 $6,829,562,633 -$154,652,153 $63.18 227
2015 Q2 114,897,996 $8,341,324,669 +$473,481,201 $72.62 229
2015 Q1 109,759,553 $6,433,651,083 -$42,890,199 $58.62 202
2014 Q4 111,157,155 $5,058,616,257 -$305,408,163 $45.50 183
2014 Q3 115,233,825 $6,540,771,221 -$45,846,848 $56.76 206
2014 Q2 114,695,852 $7,343,914,274 -$44,124,544 $64.04 196
2014 Q1 116,574,604 $5,875,984,059 +$138,559,843 $50.42 195