Loews Corp (L)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$120M
Holdings value Q1 2024
$9.42B
Value change Q1 2024
-$481M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
601
Number of Buys Q1 2024
219
Number of Sells Q1 2024
-266
Average Buys Q1 2024 %
+0.001%
Average Sells Q1 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 120M $9.42B -$481M $78.29 565
2023 Q4 128M $8.88B +$598M $69.59 558
2023 Q3 121M $7.63B -$88.9M $63.31 527
2023 Q2 122M $7.25B -$220M $59.38 494
2023 Q1 127M $7.32B -$358M $58.02 501
2022 Q4 141M $8.24B -$5.01M $58.33 524
2022 Q3 142M $7.09B -$189M $49.84 497
2022 Q2 147M $8.67B -$20.1M $59.26 508
2022 Q1 149M $9.64B -$116M $64.82 523
2021 Q4 151M $8.7B -$401M $57.76 481
2021 Q3 155M $8.34B -$215M $53.93 465
2021 Q2 160M $8.73B -$124M $54.65 469
2021 Q1 162M $8.32B -$167M $51.28 443
2020 Q4 167M $7.52B -$240M $45.02 439
2020 Q3 173M $6.01B -$115M $34.75 402
2020 Q2 179M $6.13B -$56.2M $34.29 431
2020 Q1 182M $6.33B -$226M $34.83 415
2019 Q4 190M $9.98B -$186M $52.49 474
2019 Q3 195M $10B -$59.8M $51.48 485
2019 Q2 197M $10.8B +$445M $54.67 475
2019 Q1 199M $9.54B -$73.6M $47.93 479
2018 Q4 204M $9.29B -$6.27M $45.52 483
2018 Q3 206M $10.4B +$116M $50.23 507
2018 Q2 204M $9.86B +$175M $48.28 512
2018 Q1 208M $10.3B -$30M $49.73 500
2017 Q4 212M $10.6B +$115M $50.03 510
2017 Q3 210M $10B +$168M $47.86 468
2017 Q2 208M $9.73B +$91.5M $46.81 461
2017 Q1 208M $9.72B +$871M $46.77 449
2016 Q4 206M $9.66B +$32.5M $46.83 455
2016 Q3 206M $8.46B +$43.4M $41.15 435
2016 Q2 206M $8.46B +$86.8M $41.09 434
2016 Q1 206M $7.76B +$89.4M $38.26 420
2015 Q4 203M $7.79B +$121M $38.40 400
2015 Q3 220M $7.94B +$5.78M $36.14 391
2015 Q2 221M $8.39B -$83.4M $38.51 428
2015 Q1 225M $9.17B +$148M $40.83 425
2014 Q4 226M $9.48B +$222M $42.02 443
2014 Q3 222M $9.25B +$10M $41.66 432
2014 Q2 226M $9.95B -$176M $44.01 438
2014 Q1 231M $10.2B +$139M $44.05 430