ASML HOLDING NV - N Y REGISTRY SHS (ASML)

Historical Holders from Q1 2014 to Q1 2025

Symbol
ASML on Nasdaq
CUSIP
N07059210
Type / Class
Equity / N Y REGISTRY SHS
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
70.2M
Holdings value
$48.7B
% of all portfolios
0.064%
Grand Portfolio weight change
-0.004%
Number of holders
1564
Number of buys
854
Number of sells
-617
Average Value change %
0%
Average buys %
+0.022%
Average sells %
-0.024%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ASML HOLDING NV - N Y REGISTRY SHS (ASML)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.27M $840M +$99.4M $662.63 270
2024 Q4 70.2M $48.7B -$2.24B $693.08 1,564
2024 Q3 72.5M $60.3B -$6.38B $833.25 1,510
2024 Q2 79.5M $81.4B +$2.75B $1,022.73 1,570
2024 Q1 76.7M $74.4B +$3.18B $970.47 1,466
2023 Q4 73M $55.3B -$1.41B $756.92 1,286
2023 Q3 75M $44.2B +$200M $588.66 1,147
2023 Q2 74.5M $54B -$1.24B $724.75 1,163
2023 Q1 74.8M $50.9B -$753M $680.71 1,082
2022 Q4 76.2M $41.6B +$125M $546.40 967
2022 Q3 75.9M $31.6B -$529M $415.35 844
2022 Q2 77.2M $36.8B +$13.2M $475.88 882
2022 Q1 77.6M $51.9B +$1.8B $667.93 951
2021 Q4 71.7M $57.1B +$118M $796.14 957
2021 Q3 68.9M $51.3B -$757M $745.11 872
2021 Q2 76M $52.5B -$48.9M $690.84 813
2021 Q1 77.2M $47.2B +$872M $617.36 754
2020 Q4 68.7M $33.5B +$858M $487.72 664
2020 Q3 74.4M $27.5B -$606M $369.27 564
2020 Q2 76.1M $28B +$607M $368.03 524
2020 Q1 70.3M $18.4B -$277M $261.64 464
2019 Q4 76M $22.5B +$1.35B $295.94 455
2019 Q3 71.2M $17.7B +$106M $248.42 395
2019 Q2 70.3M $14.6B +$60.1M $207.93 383
2019 Q1 51.7M $9.72B +$561M $188.05 362
2018 Q4 68M $10.6B +$312M $155.62 339
2018 Q3 66.4M $12.5B -$891M $188.02 321
2018 Q2 71.1M $14.1B -$148M $197.97 319
2018 Q1 72M $14.3B -$4.76M $198.56 329
2017 Q4 72.1M $12.5B +$83.3M $173.82 291
2017 Q3 71.6M $12.3B +$410M $171.20 251
2017 Q2 69.4M $9.05B -$191M $130.31 223
2017 Q1 70.7M $9.39B +$708M $132.80 216
2016 Q4 67.2M $7.53B +$3.4B $112.20 222
2016 Q3 37.1M $4.06B +$129M $109.58 194
2016 Q2 36M $3.57B +$218M $99.21 182
2016 Q1 33.4M $3.35B +$115M $100.39 177
2015 Q4 33M $2.93B -$346M $88.77 190
2015 Q3 35.6M $3.13B -$708M $87.98 186
2015 Q2 45.1M $4.69B -$624M $104.13 203
2015 Q1 52M $5.25B -$452M $101.03 213
2014 Q4 56.4M $6.08B -$396M $107.83 213
2014 Q3 59.7M $5.9B +$20.4M $98.82 199
2014 Q2 58.4M $5.44B -$365M $93.27 189
2014 Q1 61.8M $5.77B -$258M $93.36 204