Halliburton Co (HAL)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$737M
Holdings value Q1 2024
$29B
Value change Q1 2024
-$107M
Grand Portfolio weight change Q1 2024
0%
Number of holders
1031
Number of Buys Q1 2024
442
Number of Sells Q1 2024
-425
Average Buys Q1 2024 %
+0.004%
Average Sells Q1 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 737M $29B -$107M $39.42 1,009
2023 Q4 743M $26.8B +$388M $36.15 1,033
2023 Q3 744M $30.1B +$326M $40.50 983
2023 Q2 738M $24.3B +$6.81M $32.99 951
2023 Q1 742M $23.5B +$573M $31.64 962
2022 Q4 750M $29.5B +$770M $39.35 981
2022 Q3 743M $18.3B +$380M $24.62 844
2022 Q2 737M $23.1B +$852M $31.36 885
2022 Q1 725M $27.5B +$729M $37.87 909
2021 Q4 712M $16.3B +$336M $22.87 777
2021 Q3 699M $15.1B +$213M $21.62 714
2021 Q2 696M $16.1B +$108M $23.12 731
2021 Q1 694M $14.9B +$131M $21.46 709
2020 Q4 697M $13.2B +$385M $18.90 736
2020 Q3 675M $8.13B +$529M $12.05 727
2020 Q2 637M $8.26B -$20.7M $12.98 697
2020 Q1 662M $4.54B -$206M $6.85 728
2019 Q4 707M $17.3B +$530M $24.47 823
2019 Q3 691M $13B +$299M $18.85 779
2019 Q2 687M $15.6B +$595M $22.74 859
2019 Q1 685M $20B +$67.2M $29.30 937
2018 Q4 707M $18.8B +$623M $26.58 939
2018 Q3 695M $28.1B +$29.6M $40.53 1,031
2018 Q2 705M $31.7B +$749M $45.06 1,095
2018 Q1 706M $32.9B +$515M $46.94 1,083
2017 Q4 704M $34.4B +$257M $48.87 1,078
2017 Q3 706M $32.5B +$1.06B $46.03 987
2017 Q2 702M $30B +$702M $42.71 1,026
2017 Q1 701M $34.5B +$3.06B $49.21 1,076
2016 Q4 706M $38.2B +$1.06B $54.09 1,087
2016 Q3 697M $31.3B +$564M $44.88 977
2016 Q2 695M $31.5B +$958M $45.29 978
2016 Q1 694M $24.5B +$1.42B $35.72 958
2015 Q4 682M $23.2B +$489M $34.04 993
2015 Q3 678M $24B +$738M $35.35 993
2015 Q2 675M $28.6B -$26.3B $43.07 1,051
2015 Q1 667M $29.2B +$1.48B $43.88 1,050
2014 Q4 651M $25.6B +$988M $39.33 1,096
2014 Q3 671M $43.2B +$803M $64.51 1,125
2014 Q2 673M $47.7B +$1.61B $71.01 1,146
2014 Q1 660M $38.8B +$308M $58.89 1,081