Mcdonalds Corp (MCD)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$475M
Holdings value Q1 2024
$134B
Value change Q1 2024
-$2.95B
Grand Portfolio weight change Q1 2024
-0.006%
Number of holders
3087
Number of Buys Q1 2024
1285
Number of Sells Q1 2024
-1363
Average Buys Q1 2024 %
+0.018%
Average Sells Q1 2024 %
-0.018%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 474M $134B -$3.07B $281.95 3,005
2023 Q4 494M $146B +$5.68B $296.51 3,155
2023 Q3 486M $128B -$1.52B $263.44 2,986
2023 Q2 493M $147B +$663M $298.41 3,008
2023 Q1 491M $137B -$3.89B $279.61 2,953
2022 Q4 503M $142B +$1.72B $263.53 2,952
2022 Q3 500M $115B +$265M $230.74 2,731
2022 Q2 500M $123B +$181M $246.88 2,751
2022 Q1 504M $124B -$719M $247.28 2,768
2021 Q4 508M $136B +$481M $268.07 2,828
2021 Q3 506M $122B +$1.18B $241.11 2,559
2021 Q2 503M $116B +$525M $230.99 2,571
2021 Q1 504M $113B +$1.18B $224.14 2,539
2020 Q4 500M $107B -$32.2M $214.58 2,503
2020 Q3 502M $110B +$404M $219.49 2,333
2020 Q2 499M $92.1B -$828M $184.47 2,268
2020 Q1 507M $83.5B +$924M $165.35 2,226
2019 Q4 502M $99.1B -$1.41B $197.61 2,311
2019 Q3 514M $110B -$960M $214.71 2,146
2019 Q2 522M $109B +$2.79B $207.66 2,116
2019 Q1 526M $100B -$45.6B $189.90 2,096
2018 Q4 528M $93.6B -$101M $177.57 2,060
2018 Q3 528M $88.2B +$1.57B $167.29 1,893
2018 Q2 546M $83.9B +$182M $156.69 1,922
2018 Q1 537M $83.9B -$605M $156.38 1,903
2017 Q4 548M $94.2B +$196M $172.12 1,946
2017 Q3 546M $85.5B -$1.63B $156.68 1,786
2017 Q2 560M $85.7B +$1.31B $153.16 1,758
2017 Q1 558M $72.4B +$6.27B $129.61 1,708
2016 Q4 562M $68.3B -$361M $121.72 1,682
2016 Q3 570M $65.7B -$2.26B $115.36 1,590
2016 Q2 599M $72.1B -$4.68B $120.34 1,646
2016 Q1 649M $78.2B -$794M $125.68 1,662
2015 Q4 639M $75.4B +$671M $118.14 1,656
2015 Q3 637M $62.8B +$527M $98.53 1,554
2015 Q2 644M $59.9B +$206M $95.07 1,567
2015 Q1 651M $63.4B +$2.3B $97.44 1,618
2014 Q4 640M $59.6B +$1.55B $93.70 1,634
2014 Q3 637M $60.1B +$781M $94.81 1,552
2014 Q2 636M $63.7B +$1.98B $100.74 1,542
2014 Q1 621M $60.6B +$374M $98.03 1,530