BB | Blackberry Ltd

CUSIP: 09228F103

0 Funds Holding
0 Total Shares
$0 Total Value
$8.90
Price
$5.2B
Market Cap
89.0
P/E Ratio
38.9
Forward P/E
$0.10
EPS (TTM)
Dividend Yield
$351M
Cash
Total Debt
586M
Shares Out
$3.12
$13.59
52-Week Range

Institutional Ownership of Blackberry Ltd

Fund / Manager Click to search
Shares Value % of Portfolio Cost Basis Est. Return
No funds currently hold this stock.

Trading Activity for Blackberry Ltd

Fund / Manager Click to search
Action Change Shares After Value Price
2026-Q2
SELL EXIT $6.21
2025-Q4
SELL -1.2% 35.0M $132M $4.41
2025-Q3
SELL -13.2% 35.4M $172M $3.87
2025-Q2
SELL -12.7% 40.8M $187M $3.87
2024-Q2
SELL EXIT $2.81
2024-Q1
SELL EXIT $2.79
2023-Q4
SELL EXIT $3.67
SELL -8.9% 1.3M $4M $3.67
2023-Q3
SELL -1.9% 1.4M $6M $4.84
2023-Q2
SELL -0.5% 1.4M $8M $5.01
2023-Q1
SELL -0.6% 1.4M $6M $3.90
2022-Q4
SELL -3.8% 1.4M $5M $4.53
2022-Q3
BUY NEW 330.0M $357M $5.96
SELL -1.4% 1.5M $7M $5.96
SELL -18.3% 312.9K $1M $5.96
2022-Q2
SELL -0.4% 1.5M $8M $5.88
SELL EXIT $5.88
2022-Q1
SELL -2.5% 1.5M $11M $7.37
SELL -52.3% 182.6K $1M $7.37
2021-Q4
SELL -10.2% 1.5M $1M $9.85
2021-Q3
SELL -2.5% 1.7M $17M $10.38
SELL -4.3% 382.9K $4M $10.38
SELL -4.3% 382.6K $4M $10.38
2021-Q2
SELL -34.0% 1.8M $22M $9.07
2021-Q1
SELL -43.6% 2.7M $23M $10.83
SELL -6.8% 400.0K $3M $10.83
2020-Q4
SELL -13.0% 4.7M $31M $5.19
BUY NEW 400.0K $3M $5.19
2020-Q3
SELL -4.8% 5.4M $25M $4.80
2020-Q2
SELL -1.8% 5.7M $28M $4.52
SELL -18.9% 429.0K $2M $4.52
2020-Q1
SELL EXIT $6.05
BUY +0.1% 5.8M $24M $6.05
2019-Q4
BUY +2.7% 5.8M $37M $5.41
2019-Q3
BUY +1.8% 5.7M $30M $7.10
2019-Q2
BUY +22.0% 5.6M $42M $8.72
2019-Q1
SELL -0.5% 4.6M $46M $8.49
2018-Q4
BUY +0.3% 4.6M $33M $8.95
2018-Q3
SELL -0.8% 4.6M $52M $10.20
2018-Q2
BUY +3.2% 4.6M $44M $11.05
2018-Q1
BUY NEW 500.0M $675M $12.66
SELL -1.9% 4.5M $51M $12.66

Insider Trading for Blackberry Ltd

No Insider Transactions
No Form 4 filings found for this stock in the last 2 years.