Graham Holdings Co - COM CL B (GHC)

Historical Holders from Q1 2014 to Q1 2025

Symbol
GHC on NYSE
CUSIP
384637104
Type / Class
Equity / COM CL B
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
2.61M
Holdings value
$2.28B
% of all portfolios
0.006%
Grand Portfolio weight change
0%
Number of holders
282
Number of buys
117
Number of sells
-118
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Graham Holdings Co - COM CL B (GHC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 58.3K $56M +$2.83M $960.87 42
2024 Q4 2.61M $2.28B -$11.8M $871.92 282
2024 Q3 2.62M $2.16B -$63.3M $821.72 258
2024 Q2 2.71M $1.89B -$5.45M $699.55 249
2024 Q1 2.7M $2.07B -$52.5M $767.68 241
2023 Q4 2.75M $1.92B -$7.04M $696.52 239
2023 Q3 2.78M $1.62B -$53.2M $583.00 243
2023 Q2 2.81M $1.61B -$190M $571.48 246
2023 Q1 2.99M $1.78B -$27.3M $595.84 253
2022 Q4 3.03M $1.83B -$18.1M $604.21 265
2022 Q3 2.98M $1.6B -$11.6M $537.98 237
2022 Q2 3.02M $1.71B -$25.1M $566.84 252
2022 Q1 3.06M $1.87B +$5.74M $611.47 255
2021 Q4 3.08M $1.94B -$37.7M $629.82 251
2021 Q3 3.17M $1.87B -$69.4M $589.16 235
2021 Q2 3.24M $2.05B +$96.3M $633.90 258
2021 Q1 3.17M $1.8B +$596K $562.44 257
2020 Q4 3.19M $1.7B -$61M $533.38 251
2020 Q3 3.31M $1.34B -$94.8M $404.11 231
2020 Q2 3.55M $1.22B -$45.4M $342.67 214
2020 Q1 3.64M $1.24B -$74.5M $341.17 220
2019 Q4 3.74M $2.39B -$29.9M $638.99 243
2019 Q3 3.78M $2.51B -$12.4M $663.45 240
2019 Q2 3.81M $2.63B +$115M $690.00 238
2019 Q1 3.75M $2.56B +$37.3M $683.18 240
2018 Q4 3.7M $2.37B -$18M $640.58 239
2018 Q3 3.73M $2.16B +$17.2M $579.30 239
2018 Q2 3.63M $2.13B +$29.8M $586.10 236
2018 Q1 3.78M $2.28B -$45.2M $602.24 219
2017 Q4 3.9M $2.18B -$8.78M $558.35 227
2017 Q3 3.83M $2.24B -$26.3M $585.10 213
2017 Q2 3.87M $2.32B -$3.02M $599.65 219
2017 Q1 3.94M $2.36B +$269M $599.56 213
2016 Q4 3.84M $1.97B -$41.3M $511.95 211
2016 Q3 3.91M $1.88B +$6.34M $481.37 204
2016 Q2 3.9M $1.91B +$15.9M $489.53 205
2016 Q1 3.85M $1.85B -$55.7M $480.00 207
2015 Q4 3.97M $1.93B -$18.8M $484.96 216
2015 Q3 3.95M $2.28B -$20.5M $577.00 232
2015 Q2 3.77M $4.06B -$21.8M $1,075.04 251
2015 Q1 3.91M $4.1B +$176M $1,049.63 259
2014 Q4 3.75M $3.24B +$12.3M $863.71 247
2014 Q3 3.7M $2.59B +$48.8M $699.59 229
2014 Q2 3.63M $2.6B -$1.16B $718.11 255
2014 Q1 5.17M $3.64B +$21.1M $703.76 252