Hsbc Holdings »

Vertex Pharmaceuticals Incorporated shares owned by Hsbc Holdings

Quarter-by-quarter ownership of Vertex Pharmaceuticals Incorporated (VRTX) shares owned by Hsbc Holdings from 13F filings

Historical chart of Hsbc Holdings investment in Vertex Pharmaceuticals Incorporated

Tip: Access up to 7 years of quarterly data

All positions including Vertex Pharmaceuticals Incorporated held by Hsbc Holdings consolidated in one spreadsheet with up to 7 years of data

Download as csvDownload consolidated filings csv Download as ExcelDownload consolidated filings xlsx

Quarterly reported holdings in Vertex Pharmaceuticals Incorporated by Hsbc Holdings

Quarter filed Position value Share count Share price at filing
2023-12-31 $279M 685k 407.90
2023-09-30 $224M 644k 347.74
2023-06-30 $258M 731k 352.43
2023-03-31 $197M 623k 315.53
2022-12-31 $151M 530k 285.15
2022-09-30 $101M 350k 288.84
2022-06-30 $101M 356k 283.37
2022-03-31 $92M 354k 260.00
2021-12-31 $88M 401k 220.52
2021-09-30 $75M 414k 181.36
2021-06-30 $73M 362k 201.52
2021-03-31 $65M 305k 214.77
2020-12-31 $92M 390k 236.50
2020-09-30 $93M 340k 272.02
2020-06-30 $80M 276k 290.44
2020-03-31 $74M 316k 234.87
2019-12-31 $121M 557k 217.67
2019-09-30 $115M 681k 169.42
2019-06-30 $117M 639k 183.38
2019-03-31 $29M 158k 183.95
2018-12-31 $28M 166k 165.71
2018-09-30 $45M 233k 192.72
2018-06-30 $37M 216k 169.94
2018-03-31 $50M 303k 163.48
2017-12-31 $38M 252k 149.33
2017-09-30 $52M 345k 151.45
2017-06-30 $33M 256k 128.80
2017-03-31 $16M 145k 109.30
2016-12-31 $9.4M 127k 73.67
2016-09-30 $7.8M 109k 71.43
2016-06-30 $7.5M 104k 71.43
2016-03-31 $8.9M 125k 71.43
2015-12-31 $21M 164k 125.97
2015-09-30 $17M 164k 104.13
2015-06-30 $57M 461k 123.57
2015-03-31 $35M 298k 117.96
2014-12-31 $33M 276k 118.80
2014-09-30 $34M 299k 112.22
2014-06-30 $19M 198k 94.68
2014-03-31 $13M 183k 69.54
2013-12-31 $11M 150k 74.14
2013-09-30 $9.1M 120k 75.85
2013-06-30 $1.2M 15k 79.89
2013-03-31 $1.4M 24k 58.82
2012-12-31 $17k 413 41.16
2012-09-30 $2.7M 49k 55.94
2012-06-30 $1.6M 29k 55.98
2012-03-31 $16M 382k 41.01