Employers Holdings, Inc. (EIG)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$19.8M
Holdings value Q1 2024
$897M
Value change Q1 2024
+$5.87M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
202
Number of Buys Q1 2024
84
Number of Sells Q1 2024
-95
Average Buys Q1 2024 %
+0%
Average Sells Q1 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 19.8M $898M +$5.87M $45.39 186
2023 Q4 20M $789M -$4.94M $39.40 181
2023 Q3 20.3M $812M -$3.43M $39.95 176
2023 Q2 20.5M $764M -$31M $37.41 177
2023 Q1 21.4M $894M +$854K $41.69 173
2022 Q4 22M $947M +$26M $43.13 183
2022 Q3 21.4M $739M -$5.79M $34.49 163
2022 Q2 21.6M $905M +$8.72M $41.89 160
2022 Q1 21.7M $890M +$8.12M $41.02 162
2021 Q4 21.7M $896M -$7.98M $41.38 156
2021 Q3 21.8M $861M -$395K $39.49 146
2021 Q2 22M $941M +$32.8M $42.80 149
2021 Q1 22M $948M +$1.44M $43.06 155
2020 Q4 22.3M $718M -$11.9M $32.19 161
2020 Q3 23.6M $715M -$11.9M $30.25 169
2020 Q2 24.2M $728M -$21.9M $30.15 155
2020 Q1 25.1M $1.01B -$12.6M $40.51 167
2019 Q4 26M $1.08B +$22.6M $41.75 182
2019 Q3 26M $1.13B -$1.72M $43.58 178
2019 Q2 26.3M $1.14B +$95.1M $42.27 177
2019 Q1 26.3M $1.05B -$9.04M $40.11 180
2018 Q4 26.9M $1.13B +$6.17M $41.97 185
2018 Q3 26.9M $1.22B +$29.6M $45.30 172
2018 Q2 26.5M $1.07B +$40M $40.20 169
2018 Q1 26.5M $1.07B +$21.4M $40.45 174
2017 Q4 26.1M $1.16B +$18.2M $44.40 171
2017 Q3 25.8M $1.17B +$8.99M $45.45 159
2017 Q2 25.7M $1.09B +$28.2M $42.30 151
2017 Q1 25.5M $970M +$151M $37.95 158
2016 Q4 25.5M $1.01B +$9.38M $39.60 160
2016 Q3 25.4M $757M +$22.5M $29.83 152
2016 Q2 25.6M $743M +$22.6M $29.02 166
2016 Q1 25.3M $711M +$17.1M $28.14 175
2015 Q4 24.9M $679M +$48M $27.30 166
2015 Q3 24.5M $547M +$19.8M $22.29 163
2015 Q2 24.1M $528M +$33.1M $22.78 157
2015 Q1 23.5M $633M -$9.21M $26.99 158
2014 Q4 23.9M $563M -$4.5M $23.51 133
2014 Q3 24.4M $470M +$7.18M $19.25 122
2014 Q2 24.3M $515M +$15.4M $21.18 123
2014 Q1 24M $486M +$42.7M $20.23 129