PayPal Holdings, Inc. - COM (PYPL)

Historical Holders from Q3 2015 to Q1 2025

Symbol
PYPL on Nasdaq
CUSIP
70450Y103
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
729M
Holdings value
$62.2B
% of all portfolios
0.08%
Grand Portfolio weight change
+0.004%
Number of holders
1962
Number of buys
802
Number of sells
-885
Average Value change %
-0.02%
Average buys %
+0.008%
Average sells %
-0.032%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of PayPal Holdings, Inc. - COM (PYPL)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 17.6M $1.15B +$85.5M $65.25 358
2024 Q4 729M $62.2B +$2.37B $85.35 1,962
2024 Q3 697M $54.4B -$838M $78.03 1,846
2024 Q2 711M $41.3B +$825M $58.03 1,709
2024 Q1 697M $46.7B -$2.09B $66.99 1,765
2023 Q4 727M $44.7B +$779M $61.41 1,779
2023 Q3 713M $41.7B -$1.86B $58.46 1,715
2023 Q2 735M $49.1B -$3.84B $66.73 1,828
2023 Q1 782M $59.3B -$2.22B $75.94 1,909
2022 Q4 813M $58B -$1.2B $71.22 1,933
2022 Q3 748M $64.4B +$1.32B $86.07 2,053
2022 Q2 817M $57B -$750M $69.84 1,926
2022 Q1 820M $94.8B -$8.43B $115.65 2,238
2021 Q4 833M $157B -$8.84B $188.58 2,531
2021 Q3 886M $231B -$2.59B $260.21 2,490
2021 Q2 933M $272B -$306M $291.48 2,539
2021 Q1 939M $228B -$5.99B $242.84 2,470
2020 Q4 887M $208B -$1.97B $234.20 2,386
2020 Q3 898M $177B -$2.88B $197.03 2,120
2020 Q2 909M $158B +$1.02B $174.23 2,020
2020 Q1 981M $94B +$567M $95.74 1,742
2019 Q4 976M $106B -$1.13B $108.17 1,793
2019 Q3 955M $99B -$276M $103.59 1,641
2019 Q2 958M $110B +$3.49B $114.46 1,665
2019 Q1 963M $100B +$1.06B $103.84 1,615
2018 Q4 955M $80.4B +$676M $84.09 1,544
2018 Q3 938M $82.4B +$476M $87.84 1,426
2018 Q2 885M $73.7B +$587M $83.27 1,368
2018 Q1 873M $66.2B -$2.02B $75.87 1,358
2017 Q4 897M $66B -$620M $73.62 1,316
2017 Q3 917M $58.7B -$1.15B $64.03 1,137
2017 Q2 939M $50.4B +$837M $53.67 1,079
2017 Q1 992M $42.7B +$2.4B $43.02 1,053
2016 Q4 998M $39.4B +$293M $39.47 1,042
2016 Q3 974M $39.9B +$875M $40.97 962
2016 Q2 952M $34.9B +$203M $36.51 989
2016 Q1 941M $36.4B -$368M $38.60 995
2015 Q4 956M $34.7B +$1.32B $36.20 984
2015 Q3 899M $27.9B +$27.4B $31.04 893