Fifth Third Bancorp (FITB)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$561M
Holdings value Q1 2024
$20.9B
Value change Q1 2024
+$336M
Grand Portfolio weight change Q1 2024
+0.001%
Number of holders
936
Number of Buys Q1 2024
380
Number of Sells Q1 2024
-377
Average Buys Q1 2024 %
+0.003%
Average Sells Q1 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 561M $20.9B +$336M $37.21 916
2023 Q4 555M $19.2B +$967M $34.49 897
2023 Q3 530M $13.4B +$291M $25.33 816
2023 Q2 529M $13.9B +$272M $26.21 841
2023 Q1 526M $14B -$324M $26.64 850
2022 Q4 551M $18.5B -$6.22M $32.81 889
2022 Q3 556M $17.8B -$8.29M $31.96 843
2022 Q2 558M $18.7B +$649M $33.60 875
2022 Q1 549M $23.6B -$189M $43.04 953
2021 Q4 554M $24.1B -$558M $43.55 941
2021 Q3 560M $23.8B +$107M $42.44 854
2021 Q2 561M $21.5B -$25.5M $38.23 868
2021 Q1 565M $21.2B +$442M $37.45 849
2020 Q4 558M $15.4B +$168M $27.57 776
2020 Q3 571M $12.2B -$190M $21.32 659
2020 Q2 570M $11B +$325M $19.28 666
2020 Q1 564M $8.41B +$199M $14.85 679
2019 Q4 559M $17.2B -$30.4M $30.74 801
2019 Q3 565M $15.5B -$89.7M $27.38 755
2019 Q2 577M $16.1B -$328M $27.90 779
2019 Q1 610M $15.4B +$1.8B $25.22 810
2018 Q4 543M $12.8B +$166M $23.53 715
2018 Q3 544M $15.2B -$531M $27.92 739
2018 Q2 570M $16.3B +$218M $28.70 756
2018 Q1 568M $18B -$330M $31.75 728
2017 Q4 582M $17.6B -$393M $30.34 708
2017 Q3 599M $16.7B +$359M $27.98 647
2017 Q2 606M $15.8B -$177M $25.96 674
2017 Q1 608M $15.5B +$1.12B $25.40 680
2016 Q4 636M $17.2B +$173M $26.97 676
2016 Q3 626M $12.8B +$356M $20.46 592
2016 Q2 615M $10.8B -$254M $17.59 592
2016 Q1 636M $10.6B -$101M $16.69 594
2015 Q4 645M $13B +$295M $20.10 601
2015 Q3 638M $12.1B +$332M $18.91 593
2015 Q2 634M $13B +$212M $20.82 633
2015 Q1 633M $11.9B -$58.1M $18.85 604
2014 Q4 646M $13.1B +$214M $20.38 604
2014 Q3 649M $13B +$322M $20.02 587
2014 Q2 654M $14.9B -$453M $21.35 633
2014 Q1 661M $15.1B -$171M $22.95 637