Oneok Inc /New/ (OKE)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$384M
Holdings value Q1 2024
$30.8B
Value change Q1 2024
-$472M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1376
Number of Buys Q1 2024
583
Number of Sells Q1 2024
-532
Average Buys Q1 2024 %
+0.008%
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 384M $30.8B -$472M $80.17 1,364
2023 Q4 393M $27.6B +$991M $70.22 1,313
2023 Q3 386M $24.5B +$5.15B $63.43 1,281
2023 Q2 305M $18.8B +$157M $61.72 1,058
2023 Q1 306M $19.5B -$1.65M $63.54 1,036
2022 Q4 310M $20.2B +$695M $65.70 1,042
2022 Q3 302M $15.5B +$292M $51.24 966
2022 Q2 298M $16.5B +$606M $55.50 993
2022 Q1 293M $20.7B +$134M $70.63 1,034
2021 Q4 292M $17.2B +$313M $58.76 986
2021 Q3 288M $16.7B +$155M $57.99 907
2021 Q2 287M $16B -$11M $55.64 907
2021 Q1 289M $14.6B +$36.4M $50.66 846
2020 Q4 290M $11.1B +$251M $38.38 819
2020 Q3 290M $7.54B -$104M $25.98 720
2020 Q2 301M $9.98B +$600M $33.22 786
2020 Q1 292M $6.38B -$96.2M $21.81 747
2019 Q4 309M $23.4B +$251M $75.67 1,060
2019 Q3 306M $22.5B +$46.5M $73.69 963
2019 Q2 311M $21.4B +$397M $68.81 924
2019 Q1 313M $21.9B +$703M $69.84 931
2018 Q4 312M $16.8B +$448M $53.95 895
2018 Q3 305M $20.7B +$134M $67.79 897
2018 Q2 305M $21.3B +$281M $69.83 885
2018 Q1 305M $17.4B +$1.53B $56.92 837
2017 Q4 281M $15B +$807M $53.45 822
2017 Q3 275M $15.2B +$4.6B $55.41 771
2017 Q2 197M $10.3B +$1.66B $52.16 643
2017 Q1 171M $9.49B +$2.05B $55.44 632
2016 Q4 157M $9.01B +$250M $57.41 606
2016 Q3 154M $7.89B +$83M $51.39 562
2016 Q2 154M $7.27B -$208M $47.45 532
2016 Q1 160M $4.72B +$288M $29.86 465
2015 Q4 164M $4.03B +$468M $24.66 441
2015 Q3 150M $4.83B +$122M $32.20 454
2015 Q2 151M $5.88B -$51.2M $39.48 495
2015 Q1 156M $7.52B +$23.2M $48.24 518
2014 Q4 160M $7.94B +$563M $49.79 527
2014 Q3 152M $9.97B +$224M $65.55 531
2014 Q2 150M $10.2B +$143M $68.08 524
2014 Q1 150M $8.9B +$115M $59.25 510