Comerica Inc /New/ (CMA)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$103M
Holdings value Q1 2024
$5.66B
Value change Q1 2024
-$31.9M
Grand Portfolio weight change Q1 2024
0%
Number of holders
598
Number of Buys Q1 2024
240
Number of Sells Q1 2024
-264
Average Buys Q1 2024 %
+0.004%
Average Sells Q1 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 103M $5.66B -$31.9M $54.99 573
2023 Q4 104M $5.78B +$195M $55.81 577
2023 Q3 104M $4.32B -$151M $41.55 528
2023 Q2 108M $4.58B +$95.8M $42.36 516
2023 Q1 108M $4.69B +$154M $43.42 541
2022 Q4 110M $7.39B +$269M $66.85 577
2022 Q3 109M $7.76B +$185M $71.10 585
2022 Q2 108M $7.94B -$1.03B $73.38 575
2022 Q1 105M $9.47B +$87M $90.43 620
2021 Q4 105M $9.11B -$34.3M $87.00 599
2021 Q3 106M $8.52B +$68.9M $80.50 550
2021 Q2 106M $7.54B -$248M $71.34 529
2021 Q1 111M $7.96B +$178M $71.74 532
2020 Q4 111M $6.19B +$157M $55.86 505
2020 Q3 110M $4.22B +$19.4M $38.25 461
2020 Q2 112M $4.26B +$94.5M $38.10 473
2020 Q1 113M $3.33B -$624M $29.34 458
2019 Q4 117M $8.42B -$136M $71.75 559
2019 Q3 120M $7.93B -$405M $65.99 534
2019 Q2 130M $9.45B +$385M $72.64 583
2019 Q1 130M $9.53B -$198M $73.32 628
2018 Q4 133M $9.16B -$210M $68.69 612
2018 Q3 138M $12.5B +$53M $90.20 608
2018 Q2 141M $12.8B +$247M $90.92 622
2018 Q1 143M $13.7B +$33M $95.93 623
2017 Q4 144M $12.5B +$70.2M $86.81 584
2017 Q3 145M $11B -$80.9M $76.26 538
2017 Q2 147M $10.8B +$58.5M $73.24 547
2017 Q1 150M $10.3B +$1.16B $68.58 524
2016 Q4 149M $10.1B +$473M $68.11 536
2016 Q3 145M $6.84B +$428M $47.32 453
2016 Q2 149M $6.11B -$72.1M $41.13 426
2016 Q1 156M $5.84B +$367M $37.87 405
2015 Q4 149M $6.24B +$153M $41.83 410
2015 Q3 148M $6.1B +$144M $41.10 417
2015 Q2 152M $7.68B -$16.4M $51.32 429
2015 Q1 155M $6.98B +$226M $45.13 416
2014 Q4 153M $7.17B +$446M $46.84 436
2014 Q3 152M $7.6B -$111M $49.86 444
2014 Q2 156M $7.83B -$258M $50.16 436
2014 Q1 161M $8.33B +$63.4M $51.80 432