Chart Industries Inc (GTLS)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$47.8M
Holdings value Q1 2024
$7.87B
Value change Q1 2024
-$86M
Grand Portfolio weight change Q1 2024
0%
Number of holders
479
Number of Buys Q1 2024
233
Number of Sells Q1 2024
-183
Average Buys Q1 2024 %
+0.003%
Average Sells Q1 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 47.8M $7.87B -$86M $164.72 450
2023 Q4 48.7M $6.64B -$175M $136.33 439
2023 Q3 50M $8.46B +$31.6M $169.12 444
2023 Q2 49.9M $7.96B +$451M $159.79 417
2023 Q1 47.7M $5.97B +$139M $125.40 406
2022 Q4 48.1M $5.54B +$1.08B $115.23 412
2022 Q3 42.3M $7.8B +$73.5M $184.35 388
2022 Q2 42.1M $7.04B +$255M $167.38 362
2022 Q1 41.6M $7.15B +$170M $171.77 380
2021 Q4 41.2M $6.56B -$208M $159.49 338
2021 Q3 41.4M $7.92B +$409M $191.11 329
2021 Q2 39.5M $5.79B -$54.5M $146.32 315
2021 Q1 40M $5.69B +$130M $142.35 283
2020 Q4 40.8M $4.81B +$320M $117.79 287
2020 Q3 38.5M $2.7B +$58.2M $70.27 225
2020 Q2 38.4M $1.86B +$69.6M $48.49 218
2020 Q1 38M $1.1B +$54.1K $28.98 205
2019 Q4 40.3M $2.72B +$66.1M $67.49 240
2019 Q3 40.3M $2.51B +$165M $62.36 257
2019 Q2 39.5M $3.04B +$450M $76.88 254
2019 Q1 35.4M $3.2B +$118M $90.52 263
2018 Q4 34.3M $2.23B +$130M $65.03 226
2018 Q3 32.9M $2.58B +$92.5M $78.33 250
2018 Q2 32.6M $2.01B +$209M $61.68 224
2018 Q1 31.1M $1.83B +$124M $59.03 208
2017 Q4 29.3M $1.37B +$94.9M $46.86 177
2017 Q3 27.5M $1.08B +$40.8M $39.23 173
2017 Q2 27.2M $946M +$14.7M $34.73 193
2017 Q1 27.5M $961M +$178M $34.94 204
2016 Q4 27.3M $984M +$7.43M $36.02 210
2016 Q3 28M $919M +$34.1M $32.83 206
2016 Q2 27.4M $658M +$6.32M $24.13 188
2016 Q1 28.2M $611M +$26.6M $21.72 172
2015 Q4 28.3M $509M +$14.3M $17.96 174
2015 Q3 29M $557M +$55.3M $19.21 183
2015 Q2 27.8M $982M +$92.6M $35.75 197
2015 Q1 28.5M $999M +$58.8M $35.07 199
2014 Q4 29.7M $1.02B +$49.6M $34.20 195
2014 Q3 31.9M $1.95B +$163M $61.13 217
2014 Q2 31.5M $2.61B +$185M $82.73 247
2014 Q1 31.8M $2.53B +$310M $79.46 248