SIRIUS XM HOLDINGS INC - COM (SIRI)

Historical Holders from Q1 2014 to Q1 2025

Symbol
SIRI on Nasdaq
CUSIP
82968B103
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
168K
Holdings value
$3.83M
% of all portfolios
0%
Grand Portfolio weight change
0%
Number of holders
9
Number of buys
3
Number of sells
-8
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of SIRIUS XM HOLDINGS INC - COM (SIRI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 9.17K $207K -$5.77K $22.55 2
2024 Q4 168K $3.83M -$6.2M $22.80 9
2024 Q3 662K $10.1M -$1.23B $23.65 13
2024 Q2 441M $1.25B +$199M $2.83 541
2024 Q1 362M $1.41B -$200M $3.88 614
2023 Q4 405M $2.22B +$68.9M $5.47 627
2023 Q3 394M $1.78B -$41.9M $4.52 586
2023 Q2 404M $1.83B +$364K $4.53 589
2023 Q1 400M $1.59B +$37.6M $3.97 615
2022 Q4 393M $2.29B -$11.8M $5.84 644
2022 Q3 393M $2.24B -$107M $5.71 598
2022 Q2 387M $2.37B -$197M $6.13 594
2022 Q1 450M $2.97B -$69.1M $6.62 598
2021 Q4 462M $2.93B -$276M $6.35 607
2021 Q3 509M $3.1B -$268M $6.10 587
2021 Q2 546M $3.57B -$162M $6.54 579
2021 Q1 570M $3.47B -$355M $6.09 591
2020 Q4 629M $4B -$294M $6.37 624
2020 Q3 666M $3.57B -$403M $5.36 602
2020 Q2 738M $4.33B -$320M $5.87 602
2020 Q1 805M $3.97B +$114M $4.94 589
2019 Q4 779M $5.57B -$68.5M $7.15 589
2019 Q3 796M $4.98B -$340M $6.26 557
2019 Q2 851M $4.75B -$458M $5.58 575
2019 Q1 965M $5.47B +$1.15B $5.67 607
2018 Q4 764M $4.35B -$59.8M $5.71 558
2018 Q3 781M $4.92B -$383M $6.32 555
2018 Q2 837M $5.65B +$57.7M $6.77 527
2018 Q1 852M $5.3B -$270M $6.24 509
2017 Q4 903M $4.83B -$161M $5.36 512
2017 Q3 912M $5.03B -$175M $5.52 474
2017 Q2 954M $5.22B -$444M $5.47 468
2017 Q1 1.05B $5.4B +$153M $5.15 451
2016 Q4 1.09B $4.84B -$42.6M $4.45 444
2016 Q3 1.1B $4.57B +$342M $4.17 433
2016 Q2 1.03B $4.07B -$200M $3.95 430
2016 Q1 1.08B $4.27B -$367M $3.95 418
2015 Q4 1.17B $4.78B -$47.5M $4.07 446
2015 Q3 1.17B $4.38B -$171M $3.74 419
2015 Q2 1.2B $4.48B -$35.5M $3.73 422
2015 Q1 1.22B $4.67B -$41.3M $3.82 420
2014 Q4 1.28B $4.49B -$326M $3.50 421
2014 Q3 1.31B $4.57B -$159M $3.49 416
2014 Q2 1.42B $4.93B -$289M $3.46 420
2014 Q1 1.47B $4.71B +$126M $3.20 436