Public Service Enterprise Group Inc (PEG)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$356M
Holdings value Q1 2024
$23.8B
Value change Q1 2024
-$102M
Grand Portfolio weight change Q1 2024
0%
Number of holders
1043
Number of Buys Q1 2024
435
Number of Sells Q1 2024
-434
Average Buys Q1 2024 %
+0.009%
Average Sells Q1 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 356M $23.8B -$102M $66.78 991
2023 Q4 358M $21.9B +$84.9M $61.15 982
2023 Q3 362M $20.6B +$117M $56.91 913
2023 Q2 360M $22.5B +$611M $62.61 917
2023 Q1 352M $21.9B +$214M $62.45 926
2022 Q4 358M $22.3B +$184M $61.27 936
2022 Q3 355M $20B +$36.4M $56.23 893
2022 Q2 352M $22.3B -$71.5M $63.28 940
2022 Q1 354M $24.7B -$318M $70.00 990
2021 Q4 359M $23.9B -$314M $66.73 963
2021 Q3 357M $21.8B +$338M $60.90 886
2021 Q2 354M $21.1B +$70.4M $59.74 874
2021 Q1 356M $21.4B +$352M $60.21 877
2020 Q4 352M $20.5B +$162M $58.30 892
2020 Q3 352M $19.3B +$86M $54.91 848
2020 Q2 353M $17.3B +$547M $49.16 826
2020 Q1 345M $15.5B -$162M $44.91 817
2019 Q4 351M $20.7B -$108M $59.05 878
2019 Q3 354M $22B +$150M $62.08 817
2019 Q2 355M $21.2B +$618M $58.82 848
2019 Q1 352M $20.9B +$461M $59.41 855
2018 Q4 350M $18.2B +$216M $52.05 834
2018 Q3 347M $18.3B -$67.2M $52.79 818
2018 Q2 349M $18.9B +$369M $54.14 821
2018 Q1 347M $17.4B +$258M $50.24 802
2017 Q4 346M $17.8B +$274M $51.50 794
2017 Q3 342M $15.8B +$387M $46.25 738
2017 Q2 338M $14.5B +$88.2M $43.01 752
2017 Q1 337M $14.9B +$2.22B $44.35 752
2016 Q4 335M $14.7B +$59M $43.88 750
2016 Q3 335M $14B -$4.13M $41.87 706
2016 Q2 338M $15.7B -$85.2M $46.61 724
2016 Q1 342M $15.8B -$183M $47.14 720
2015 Q4 343M $13.3B +$35.1M $38.69 706
2015 Q3 338M $14.3B +$341M $42.16 683
2015 Q2 334M $12.9B +$311M $39.28 682
2015 Q1 336M $14.1B +$271M $41.92 671
2014 Q4 333M $13.8B -$68.4M $41.41 684
2014 Q3 336M $12.5B +$323M $37.24 603
2014 Q2 330M $14.4B -$261M $40.79 620
2014 Q1 327M $12.5B +$7.25M $38.14 616