Freeport Mcmoran Inc (FCX)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / CL B
Shares, Excl. Options Q1 2024
$1.12B
Holdings value Q1 2024
$52.9B
Value change Q1 2024
+$1.84B
Grand Portfolio weight change Q1 2024
+0.004%
Number of holders
1465
Number of Buys Q1 2024
702
Number of Sells Q1 2024
-571
Average Buys Q1 2024 %
+1.235%
Average Sells Q1 2024 %
-0.012%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 1.12B $52.9B +$1.88B $47.02 1,442
2023 Q4 1.13B $48.1B +$854M $42.57 1,461
2023 Q3 1.12B $41.6B +$254M $37.29 1,335
2023 Q2 1.12B $44.7B +$232M $40.00 1,355
2023 Q1 1.13B $46.1B +$601M $40.91 1,336
2022 Q4 1.12B $43B +$1.06B $38.00 1,292
2022 Q3 1.1B $30.3B +$33.7M $27.33 1,145
2022 Q2 1.11B $32.8B +$263M $29.26 1,179
2022 Q1 1.13B $56.4B +$898M $49.74 1,317
2021 Q4 1.12B $47B +$146M $41.73 1,232
2021 Q3 1.12B $36.5B +$212M $32.53 1,116
2021 Q2 1.13B $42B +$379M $37.11 1,176
2021 Q1 1.13B $37.4B +$1.64B $32.93 1,067
2020 Q4 1.09B $28.5B +$1.2B $26.02 964
2020 Q3 1.05B $16.5B +$753M $15.64 798
2020 Q2 1.01B $11.8B +$147M $11.57 743
2020 Q1 1.04B $7.02B +$73M $6.75 718
2019 Q4 1.06B $13.9B +$338M $13.12 753
2019 Q3 1.03B $9.86B -$69M $9.57 712
2019 Q2 1.05B $12.2B +$418M $11.61 752
2019 Q1 1.05B $13.5B +$641M $12.89 808
2018 Q4 1.02B $10.5B +$198M $10.31 837
2018 Q3 1.02B $14.1B -$66.1M $13.92 823
2018 Q2 1.04B $18B +$619M $17.26 835
2018 Q1 1.03B $18B +$220M $17.57 852
2017 Q4 1.02B $19.3B +$1.01B $18.96 814
2017 Q3 985M $13.8B +$284M $14.04 787
2017 Q2 984M $11.8B -$236M $12.01 761
2017 Q1 1B $13.4B +$1.33B $13.36 811
2016 Q4 1.01B $13.4B +$801M $13.19 793
2016 Q3 964M $10.5B +$794M $10.86 726
2016 Q2 899M $10B +$891M $11.14 717
2016 Q1 854M $8.9B -$130M $10.34 725
2015 Q4 902M $6.11B +$334M $6.77 763
2015 Q3 864M $8.36B +$1.23B $9.69 781
2015 Q2 762M $13.7B +$350M $18.62 805
2015 Q1 753M $14.3B +$543M $18.95 850
2014 Q4 749M $17.5B +$571M $23.36 931
2014 Q3 740M $24.1B +$451M $32.65 986
2014 Q2 741M $27B +$1.06B $36.50 1,024
2014 Q1 722M $23.9B +$68.7M $33.07 1,014