Crown Castle Inc. (CCI)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$376M
Holdings value Q1 2024
$39.7B
Value change Q1 2024
-$382M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1249
Number of Buys Q1 2024
539
Number of Sells Q1 2024
-564
Average Buys Q1 2024 %
+0.006%
Average Sells Q1 2024 %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 373M $39.4B -$404M $105.83 1,144
2023 Q4 380M $43.8B +$451M $115.19 1,232
2023 Q3 383M $35.2B -$206M $92.03 1,143
2023 Q2 388M $44.2B +$36M $113.94 1,243
2023 Q1 388M $51.9B +$437M $133.84 1,288
2022 Q4 393M $55.5B +$1.5B $135.64 1,337
2022 Q3 396M $57.2B +$239M $144.55 1,306
2022 Q2 395M $66.4B +$171M $168.38 1,367
2022 Q1 392M $72.3B -$458M $184.60 1,360
2021 Q4 396M $82.5B +$928M $208.74 1,387
2021 Q3 392M $68B -$40.1M $173.32 1,295
2021 Q2 393M $76.7B -$42.9M $195.10 1,271
2021 Q1 395M $67.9B +$1.76B $172.13 1,237
2020 Q4 386M $61.4B -$731M $159.19 1,215
2020 Q3 393M $65.3B +$997M $166.50 1,159
2020 Q2 387M $64.8B +$987M $167.35 1,158
2020 Q1 383M $55.2B +$449M $144.40 1,081
2019 Q4 381M $54.1B +$5.31M $142.15 1,069
2019 Q3 383M $53.2B +$348M $139.01 1,003
2019 Q2 384M $50B +$713M $130.35 984
2019 Q1 386M $49.4B -$5.64M $128.00 966
2018 Q4 387M $42B -$535M $108.63 917
2018 Q3 393M $43.8B -$277M $111.33 878
2018 Q2 396M $42.7B +$772M $107.82 833
2018 Q1 394M $43.2B +$1.69B $109.61 845
2017 Q4 381M $42.3B -$191M $111.01 821
2017 Q3 387M $38.7B +$5.32B $99.98 750
2017 Q2 338M $33.9B +$984M $100.18 726
2017 Q1 335M $31.6B +$2.15B $94.45 692
2016 Q4 338M $29.3B +$1.66B $86.77 684
2016 Q3 326M $30.5B -$172K $94.21 658
2016 Q2 329M $33B +$792M $101.43 662
2016 Q1 322M $27.8B +$570M $86.50 591
2015 Q4 318M $27.4B +$157M $86.45 575
2015 Q3 318M $25.2B +$394M $78.87 528
2015 Q2 316M $25.1B +$186M $80.30 503
2015 Q1 319M $26.3B +$1.72B $82.54 513
2014 Q4 308M $24.3B +$23.5B $78.70 480