Consolidated Edison Inc (ED)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$219M
Holdings value Q1 2024
$19.9B
Value change Q1 2024
-$110M
Grand Portfolio weight change Q1 2024
0%
Number of holders
1160
Number of Buys Q1 2024
455
Number of Sells Q1 2024
-472
Average Buys Q1 2024 %
+0.005%
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 219M $19.9B -$110M $90.81 1,108
2023 Q4 224M $20.3B +$452M $90.97 1,141
2023 Q3 223M $19.1B +$54.6M $85.53 1,074
2023 Q2 223M $20.1B -$894M $90.40 1,111
2023 Q1 233M $21.9B -$136M $95.67 1,103
2022 Q4 237M $23.1B +$605M $95.31 1,116
2022 Q3 234M $20.1B +$297M $85.76 1,048
2022 Q2 232M $22B +$516M $95.10 1,085
2022 Q1 229M $21.6B +$341M $94.68 1,088
2021 Q4 228M $19.4B +$565M $85.32 1,048
2021 Q3 221M $16B +$391M $72.59 955
2021 Q2 218M $15.6B +$703M $71.72 983
2021 Q1 211M $15.7B +$416M $74.80 962
2020 Q4 209M $15.1B -$173M $72.27 995
2020 Q3 213M $16.6B +$1.04B $77.80 913
2020 Q2 200M $14.4B -$56.8M $71.93 916
2020 Q1 202M $15.8B +$211M $78.00 945
2019 Q4 202M $18.2B +$23.4M $90.47 992
2019 Q3 203M $19.1B +$231M $94.47 958
2019 Q2 202M $17.7B +$823M $87.68 943
2019 Q1 198M $16.7B +$380M $84.81 965
2018 Q4 195M $32.7B -$1.17B $76.46 933
2018 Q3 184M $14B -$59.9M $76.19 859
2018 Q2 186M $14.5B +$712M $77.98 876
2018 Q1 181M $14B +$429M $77.94 905
2017 Q4 178M $15B +$177M $84.95 893
2017 Q3 175M $14.1B +$257M $80.68 844
2017 Q2 174M $14B +$221M $80.82 837
2017 Q1 174M $13.5B +$2.2B $77.66 801
2016 Q4 169M $12.4B +$264M $73.68 824
2016 Q3 169M $12.7B +$44.1M $75.30 806
2016 Q2 170M $13.7B +$525M $80.44 806
2016 Q1 165M $12.2B +$466M $76.62 785
2015 Q4 154M $9.93B +$53.2M $64.27 737
2015 Q3 156M $10.4B +$96.4M $66.85 724
2015 Q2 155M $8.73B +$209M $57.88 699
2015 Q1 153M $9.33B +$59.7M $61.00 721
2014 Q4 154M $10.2B +$514M $66.01 729
2014 Q3 147M $8.33B +$239M $56.66 675
2014 Q2 145M $8.34B +$335M $57.74 672
2014 Q1 141M $7.57B +$281M $53.65 669