HD SUPPLY HLDGS INC - COM (HDS)

Historical Holders from Q1 2014 to Q4 2021

Type / Class
Equity / COM
Symbol
HDS
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of HD SUPPLY HLDGS INC - COM (HDS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2021 Q4 0 $0 -$141,000 0
2021 Q3 4,082 $141,000 $0 3,394.66% 2
2021 Q1 0 $0 -$19,734,433 0
2020 Q4 345,687 $19,355,432 -$6,406,916,664 5,599.9% 2
2020 Q3 155,804,764 $6,421,423,583 -$190,207,731 4,124% 343
2020 Q2 160,553,573 $5,556,059,537 +$160,005,547 3,464.96% 346
2020 Q1 155,677,532 $4,423,374,522 -$51,849,339 2,843% 328
2019 Q4 155,597,503 $6,245,923,277 -$221,711,601 4,021.99% 379
2019 Q3 160,390,791 $6,273,637,443 -$178,929,782 3,917.5% 356
2019 Q2 165,042,722 $6,629,188,424 +$164,740,200 4,027.89% 388
2019 Q1 164,172,755 $7,100,762,653 -$181,205,325 4,335% 376
2018 Q4 166,777,678 $6,248,650,062 -$349,717,740 3,752% 364
2018 Q3 177,080,685 $7,573,346,744 +$2,352,689 4,278.98% 369
2018 Q2 177,561,842 $7,614,776,972 -$31,204,077 4,289% 360
2018 Q1 180,705,468 $6,855,457,809 +$173,580,070 3,794% 341
2017 Q4 175,574,119 $7,027,568,968 -$562,323,843 4,002.96% 356
2017 Q3 190,451,051 $6,869,467,435 -$74,128,542 3,607% 305
2017 Q2 188,143,155 $5,763,105,518 -$239,971,594 3,062.99% 355
2017 Q1 196,434,367 $8,077,382,239 +$376,359,506 4,112.49% 372
2016 Q4 195,396,942 $8,298,701,162 -$47,781,844 4,251% 367
2016 Q3 198,482,683 $6,346,504,172 +$79,429,051 3,198% 316
2016 Q2 189,182,116 $6,588,345,340 +$266,250,386 3,481.99% 341
2016 Q1 184,965,018 $6,112,061,072 -$34,992,041 3,306.99% 313
2015 Q4 189,187,083 $5,681,733,847 +$86,719,204 3,002.99% 296
2015 Q3 190,519,082 $5,450,352,165 -$146,970,828 2,861.99% 292
2015 Q2 186,118,841 $6,547,151,563 +$70,690,115 3,518% 279
2015 Q1 179,738,172 $5,599,826,959 +$376,607,495 3,115.5% 237
2014 Q4 172,918,307 $5,098,399,359 -$195,732,788 2,948.99% 218
2014 Q3 175,289,612 $4,778,206,660 +$97,521,370 2,726% 191
2014 Q2 178,062,278 $5,050,759,099 +$10,317,999 2,839% 172
2014 Q1 176,050,885 $4,610,352,874 -$16,887,116 2,615% 147