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Apple shares owned by DuPont Capital Management Corporation

Quarter-by-quarter ownership of Apple (AAPL) shares owned by DuPont Capital Management Corporation from 13F filings

Historical chart of DuPont Capital Management Corporation investment in Apple

Tip: Access up to 7 years of quarterly data

All positions including Apple held by DuPont Capital Management Corporation consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Apple by DuPont Capital Management Corporation

Quarter filed Position value Share count Share price at filing
2024-03-31 $43M 248k 171.48
2023-12-31 $51M 264k 192.53
2023-09-30 $51M 296k 171.21
2023-06-30 $128M 660k 193.97
2023-03-31 $111M 673k 164.90
2022-12-31 $81M 620k 129.93
2022-09-30 $46M 332k 138.20
2022-06-30 $63M 462k 136.72
2022-03-31 $90M 513k 174.61
2021-12-31 $105M 590k 177.57
2021-09-30 $106M 751k 141.50
2021-06-30 $138M 1.0M 136.96
2021-03-31 $123M 1.0M 122.15
2020-12-31 $174M 1.3M 132.69
2020-09-30 $182M 1.6M 115.81
2020-06-30 $149M 410k 364.80
2020-03-31 $102M 401k 254.29
2019-12-31 $109M 371k 293.65
2019-09-30 $81M 361k 223.97
2019-06-30 $80M 402k 197.92
2019-03-31 $90M 473k 189.95
2018-12-31 $76M 482k 157.74
2018-09-30 $111M 491k 225.74
2018-06-30 $92M 495k 185.11
2018-03-31 $92M 546k 167.78
2017-12-31 $96M 567k 169.23
2017-09-30 $94M 609k 154.12
2017-06-30 $93M 645k 144.02
2017-03-31 $77M 536k 143.66
2016-12-31 $57M 491k 115.82
2016-09-30 $61M 542k 113.05
2016-06-30 $54M 560k 95.60
2016-03-31 $69M 633k 108.99
2015-12-31 $69M 653k 105.26
2015-09-30 $74M 669k 110.30
2015-06-30 $96M 763k 125.43
2015-03-31 $102M 819k 124.43
2014-12-31 $91M 820k 110.38
2014-09-30 $72M 719k 100.75
2014-06-30 $107M 1.1M 92.93
2014-03-31 $91M 169k 536.74
2013-12-31 $83M 148k 561.11
2013-09-30 $83M 174k 476.75
2013-06-30 $52M 130k 396.08
2013-03-31 $0 76k 0.00
2012-12-31 $37B 69k 533029.99
2012-09-30 $27B 40k 667260.01
2012-06-30 $26B 45k 584000.00
2012-03-31 $32B 54k 599470.01
2011-12-31 $0 59k 0.00
2011-09-30 $0 37k 0.00
2011-06-30 $12B 35k 335669.99
2011-03-31 $12B 35k 348450.01