Edison International (EIX)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$334M
Holdings value Q1 2024
$23.7B
Value change Q1 2024
+$177M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
796
Number of Buys Q1 2024
348
Number of Sells Q1 2024
-314
Average Buys Q1 2024 %
+0.003%
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 334M $23.7B +$177M $70.73 755
2023 Q4 333M $23.8B +$290M $71.49 775
2023 Q3 334M $21.2B -$229M $63.29 759
2023 Q2 338M $23.5B -$136M $69.45 754
2023 Q1 341M $24.1B +$529M $70.59 742
2022 Q4 340M $22B +$448M $63.62 724
2022 Q3 337M $19.1B +$287M $56.58 702
2022 Q2 335M $21.1B +$462M $63.24 690
2022 Q1 331M $23.2B -$353M $70.10 698
2021 Q4 338M $23B +$448M $68.25 696
2021 Q3 331M $18.4B -$30.9M $55.47 644
2021 Q2 334M $19.3B +$185M $57.82 638
2021 Q1 334M $19.6B +$116M $58.60 642
2020 Q4 336M $21.1B +$148M $62.82 642
2020 Q3 338M $17.2B +$510M $50.84 591
2020 Q2 334M $18.1B +$1.05B $54.31 624
2020 Q1 322M $17.7B +$59.8M $54.79 618
2019 Q4 326M $24.6B +$916M $75.41 668
2019 Q3 317M $23.9B +$3.35B $75.42 633
2019 Q2 280M $18.8B +$1.28B $67.41 631
2019 Q1 273M $16.9B -$73M $61.92 639
2018 Q4 276M $15.7B +$200M $56.77 620
2018 Q3 275M $18.6B +$538M $67.68 620
2018 Q2 271M $17.1B +$472M $63.27 636
2018 Q1 271M $17.2B +$683M $63.66 663
2017 Q4 268M $17B +$484M $63.24 673
2017 Q3 266M $20.5B -$5.43M $77.17 628
2017 Q2 269M $21.1B -$3.22M $78.19 632
2017 Q1 270M $21.5B +$1.73B $79.61 601
2016 Q4 272M $19.6B +$342M $71.99 608
2016 Q3 269M $19.4B -$31.1M $72.25 567
2016 Q2 270M $21B +$96.9M $77.67 583
2016 Q1 271M $19B +$42.7M $71.89 583
2015 Q4 267M $15.8B -$50.4M $59.21 554
2015 Q3 269M $17B +$381M $63.07 529
2015 Q2 266M $14.5B +$163M $55.58 518
2015 Q1 265M $16.6B +$195M $62.47 535
2014 Q4 262M $17.1B +$222M $65.48 530
2014 Q3 261M $14.6B +$492M $55.92 499
2014 Q2 258M $15.9B -$551M $58.11 500
2014 Q1 260M $14.7B +$118M $56.61 510