Atlassian Corp PLC - CL A (TEAM)

Historical Holders from Q4 2015 to Q4 2024

Symbol
TEAM on Nasdaq
CUSIP
G06242104
Type / Class
Equity / CL A
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
62.4K
Holdings value
$15M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
4
Number of buys
1
Number of sells
-1
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 Atlassian Corp PLC - CL A (TEAM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q4 62.4K $15M +$1.21M $235.19 4
2024 Q3 57.1K $9.07M +$405K $158.81 4
2024 Q2 54.6K $9.65M -$1.16M $176.89 4
2024 Q1 110K $21.5M +$606K $195.11 8
2023 Q4 57.4K $13.6M -$36.1M $237.87 7
2023 Q3 228K $46M +$7.2M $201.51 9
2023 Q2 1 $211 -$382K $211.00 1
2023 Q1 199K $34M +$1.68M $171.17 9
2022 Q4 300 $63.2K -$18.3B $210.85 2
2022 Q3 87.1M $18.4B -$7.44B $210.59 505
2022 Q2 128M $23.9B +$727M $187.40 627
2022 Q1 124M $36.3B +$600M $293.83 668
2021 Q4 114M $43.5B +$648M $381.29 737
2021 Q3 114M $44.5B -$2.22B $391.42 679
2021 Q2 113M $29.2B +$5.17M $256.86 617
2021 Q1 121M $25.4B +$73.5M $210.76 574
2020 Q4 120M $28.1B -$362M $233.87 563
2020 Q3 122M $22.1B +$932M $181.79 474
2020 Q2 116M $21B +$462M $180.27 485
2020 Q1 115M $15.7B +$692M $137.26 428
2019 Q4 110M $13.3B +$348M $120.34 390
2019 Q3 107M $13.4B +$377M $125.44 367
2019 Q2 104M $13.6B +$944M $130.84 360
2019 Q1 99.1M $11.1B +$274M $112.39 354
2018 Q4 97M $8.63B +$225M $88.98 301
2018 Q3 94.9M $9.12B -$387M $96.14 266
2018 Q2 99.3M $6.21B +$537M $62.52 223
2018 Q1 90.8M $4.9B +$181M $53.92 213
2017 Q4 87.8M $3.99B +$328M $45.52 186
2017 Q3 78.8M $2.77B +$199M $35.15 139
2017 Q2 73.5M $2.58B +$334M $35.18 122
2017 Q1 71.4M $2.14B +$156M $29.95 124
2016 Q4 67.4M $1.62B +$170M $24.08 132
2016 Q3 60.3M $1.81B +$337M $29.97 131
2016 Q2 49.2M $1.27B +$282M $25.90 109
2016 Q1 38.4M $953M +$134M $25.15 92
2015 Q4 33.7M $999M +$999M $30.08 96