Redfin Corp - Common Stock (RDFN)

Historical Holders from Q3 2017 to Q1 2025

Symbol
RDFN on Nasdaq
CUSIP
75737F108
Type / Class
Equity / Common Stock
Shares outstanding
124M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
75.1M
Holdings value
$591M
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
250
Number of buys
99
Number of sells
-128
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Redfin Corp - Common Stock (RDFN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 13.57% $164M 16.8M The Vanguard Group Dec 31, 2024

Institutional Holders of Redfin Corp - Common Stock (RDFN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 5.3M $48.9M -$7.06M $9.21 27
2024 Q4 75.1M $591M -$39.4M $7.87 250
2024 Q3 76.7M $961M +$136M $12.53 259
2024 Q2 66.2M $398M -$7.63M $6.01 231
2024 Q1 67.2M $447M -$40M $6.65 227
2023 Q4 68.1M $702M -$64.4M $10.32 238
2023 Q3 84.1M $592M -$47.9M $7.04 226
2023 Q2 89M $1.11B +$29.7M $12.42 213
2023 Q1 86.6M $785M +$3.35M $9.06 203
2022 Q4 88.8M $376M -$16.2M $4.24 193
2022 Q3 88M $514M -$63.9M $5.84 174
2022 Q2 98.6M $812M -$26.7M $8.24 182
2022 Q1 97.3M $1.76B -$24.4M $18.04 207
2021 Q4 97.5M $3.74B +$87.1M $38.39 246
2021 Q3 94.6M $4.74B +$135M $50.10 260
2021 Q2 91.7M $5.81B +$178M $63.41 289
2021 Q1 88.7M $5.91B +$44.8M $66.59 311
2020 Q4 88M $6.04B +$81.9M $68.63 287
2020 Q3 83.9M $4.19B -$162M $49.93 257
2020 Q2 88.3M $3.7B +$117M $41.91 218
2020 Q1 87.2M $1.35B +$6.51M $15.42 179
2019 Q4 84.1M $1.78B +$34M $21.14 166
2019 Q3 84.8M $1.43B +$49.2M $16.84 156
2019 Q2 81.8M $1.47B -$65.4M $17.98 147
2019 Q1 85.9M $1.74B -$68.4M $20.27 135
2018 Q4 89.1M $1.28B +$60.5M $14.40 120
2018 Q3 84M $1.57B +$277M $18.70 130
2018 Q2 68.1M $1.57B +$132M $23.09 136
2018 Q1 62.6M $1.43B +$430M $22.83 125
2017 Q4 42.9M $1.33B +$138M $31.32 91
2017 Q3 30.9M $762M +$753M $25.09 71