Ally Financial Inc. (ALLY)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$265M
Holdings value Q1 2024
$10.7B
Value change Q1 2024
+$126M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
568
Number of Buys Q1 2024
240
Number of Sells Q1 2024
-229
Average Buys Q1 2024 %
+0.003%
Average Sells Q1 2024 %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 265M $10.7B +$126M $40.59 556
2023 Q4 262M $9.14B +$103M $34.92 546
2023 Q3 261M $6.97B +$171M $26.68 494
2023 Q2 260M $7.01B +$14.9M $27.01 533
2023 Q1 266M $6.77B +$68.2M $25.49 543
2022 Q4 269M $6.59B +$70.8M $24.45 535
2022 Q3 270M $7.53B -$109M $27.83 550
2022 Q2 281M $9.39B -$217M $33.51 586
2022 Q1 296M $12.9B -$436M $43.48 632
2021 Q4 313M $14.9B -$293M $47.61 637
2021 Q3 326M $16.6B -$535M $51.05 632
2021 Q2 337M $16.8B -$565M $49.84 640
2021 Q1 352M $15.9B +$452M $45.21 566
2020 Q4 350M $12.5B -$9.28M $35.66 520
2020 Q3 355M $8.89B +$344M $25.07 454
2020 Q2 351M $6.95B +$187M $19.83 436
2020 Q1 351M $5.1B +$94.2M $14.43 442
2019 Q4 360M $11B -$14.6M $30.56 528
2019 Q3 365M $12.1B -$42M $33.16 518
2019 Q2 378M $11.8B -$236M $30.99 455
2019 Q1 390M $10.7B -$181M $27.49 437
2018 Q4 406M $9.2B -$88.6M $22.66 437
2018 Q3 413M $10.9B -$92.7M $26.45 437
2018 Q2 424M $11.1B -$183M $26.27 445
2018 Q1 436M $11.8B +$170M $27.15 430
2017 Q4 437M $12.7B -$74.5M $29.16 437
2017 Q3 452M $11B -$30.7M $24.26 393
2017 Q2 456M $9.54B +$444M $20.90 377
2017 Q1 457M $9.3B +$741M $20.33 401
2016 Q4 458M $8.71B +$417M $19.02 395
2016 Q3 461M $8.97B -$108M $19.47 367
2016 Q2 472M $8.05B -$104M $17.07 357
2016 Q1 482M $9.02B +$228M $18.72 365
2015 Q4 478M $8.91B +$581M $18.64 354
2015 Q3 464M $9.46B +$569M $20.38 348
2015 Q2 454M $10.1B +$325M $22.43 331
2015 Q1 458M $9.6B +$842M $20.98 321
2014 Q4 452M $10.7B +$2.1B $23.62 336
2014 Q3 375M $8.65B +$1.34B $23.14 257
2014 Q2 328M $7.84B +$7.78B $23.91 187