NEW RELIC INC - COMMON STOCK (NEWR)

Historical Holders from Q4 2014 to Q4 2024

Symbol
NEWR
CUSIP
64829B100
Type / Class
Equity / COMMON STOCK
All holders as of December 31, 2024
Q4 2024
13F shares, excl. options
1
Holdings value
$1.5K
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of NEW RELIC INC - COMMON STOCK (NEWR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q4 1 $1.5K $1,502.00 1
2024 Q3 1 $1.5K $0 $1,502.00 1
2024 Q2 1 $1.5K $0 $1,502.00 1
2024 Q1 1 $1.5K -$18.5K $1,502.00 1
2023 Q4 209 $18.5K -$5.1B $89.79 2
2023 Q3 59.3M $5.08B +$174M $85.62 266
2023 Q2 60.3M $3.95B +$128M $65.44 272
2023 Q1 58.1M $4.37B -$15.3M $75.29 271
2022 Q4 58.7M $3.31B +$40.4M $56.45 238
2022 Q3 57.9M $3.32B -$29.2M $57.38 248
2022 Q2 57.3M $2.87B -$170M $50.05 218
2022 Q1 59.4M $3.97B +$50.6M $66.88 250
2021 Q4 57.5M $6.32B +$218M $109.96 269
2021 Q3 56.1M $4.02B +$40.3M $71.77 233
2021 Q2 55.5M $3.72B -$98.4M $66.97 209
2021 Q1 57.3M $3.52B +$283M $61.48 203
2020 Q4 52.5M $3.44B -$17.9M $65.40 215
2020 Q3 52.9M $2.98B -$104M $56.36 207
2020 Q2 53.8M $3.7B +$172M $68.90 236
2020 Q1 52.4M $2.42B +$45.9M $46.24 208
2019 Q4 49.2M $3.24B +$97.2M $65.71 250
2019 Q3 48.4M $2.97B -$17.6M $61.45 231
2019 Q2 45.8M $3.97B +$108M $86.51 289
2019 Q1 45.9M $4.52B +$12.9M $98.70 319
2018 Q4 44.9M $3.63B +$145M $80.97 281
2018 Q3 43.9M $4.14B +$48.4M $94.23 289
2018 Q2 43.2M $4.35B +$346M $100.59 270
2018 Q1 40.8M $3.03B -$41.3M $74.12 229
2017 Q4 41.5M $2.4B -$17.1M $57.77 180
2017 Q3 42.3M $2.11B +$106M $49.80 172
2017 Q2 40.4M $1.74B +$118M $43.01 162
2017 Q1 37.8M $1.4B +$119M $37.07 143
2016 Q4 36.2M $1.02B +$90.9M $28.25 136
2016 Q3 32.2M $1.24B +$110M $38.32 117
2016 Q2 29.7M $873M +$50.5M $29.38 102
2016 Q1 28M $731M +$145M $26.08 89
2015 Q4 21.7M $791M +$84.9M $36.43 105
2015 Q3 19.2M $730M +$99.7M $38.11 89
2015 Q2 16.6M $583M +$133M $35.19 73
2015 Q1 12.5M $433M +$56.1M $34.70 59
2014 Q4 10.9M $378M +$366M $34.84 56