Ryman Hospitality Properties, Inc. (RHP)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$53.9M
Holdings value Q1 2024
$6.25B
Value change Q1 2024
-$129M
Grand Portfolio weight change Q1 2024
0%
Number of holders
348
Number of Buys Q1 2024
160
Number of Sells Q1 2024
-135
Average Buys Q1 2024 %
+0.002%
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 53.9M $6.25B -$129M $115.61 333
2023 Q4 55.1M $6.06B +$193M $110.06 305
2023 Q3 54.3M $4.53B -$35.2M $83.28 280
2023 Q2 54.5M $5.07B +$358M $92.92 307
2023 Q1 50.9M $4.57B +$51.8M $89.73 284
2022 Q4 51M $4.17B +$21.7M $81.78 277
2022 Q3 51.3M $3.78B -$572K $73.59 272
2022 Q2 52.1M $3.96B +$110M $76.03 267
2022 Q1 51.8M $4.81B -$49.6M $92.77 276
2021 Q4 52.5M $4.83B +$84.4M $91.96 260
2021 Q3 51.9M $4.34B +$310M $83.70 264
2021 Q2 50M $3.95B +$114M $78.96 252
2021 Q1 49.8M $3.86B +$218M $77.51 249
2020 Q4 49.2M $3.34B +$245M $67.76 245
2020 Q3 47.5M $1.75B +$114M $36.80 225
2020 Q2 46.3M $1.6B +$42.8M $34.60 243
2020 Q1 48.3M $1.73B +$148M $35.85 259
2019 Q4 47.2M $4.09B +$306M $86.66 344
2019 Q3 44.7M $3.66B -$6.97M $81.81 303
2019 Q2 44.3M $3.6B +$111M $81.09 315
2019 Q1 44.6M $3.67B +$58.4M $82.24 293
2018 Q4 44.6M $2.98B +$107M $66.69 292
2018 Q3 43.8M $3.78B +$54.6M $86.17 309
2018 Q2 43.7M $3.64B +$4.75M $83.15 281
2018 Q1 44.7M $3.46B +$65.3M $77.45 277
2017 Q4 44.7M $3.08B -$35.7M $69.02 261
2017 Q3 45.2M $2.82B +$33.1M $62.49 241
2017 Q2 45M $2.88B -$34.8M $64.01 239
2017 Q1 45.9M $2.84B +$295M $61.83 237
2016 Q4 45.7M $2.87B -$24.6M $63.01 250
2016 Q3 45.5M $2.19B +$20M $48.16 236
2016 Q2 45.9M $2.32B +$36M $50.65 235
2016 Q1 45.7M $2.35B +$59.9M $51.48 227
2015 Q4 45.7M $2.36B -$25M $51.64 222
2015 Q3 46.5M $2.29B +$79.6M $49.23 212
2015 Q2 46.1M $2.4B +$59.5M $53.11 228
2015 Q1 46.4M $2.8B -$305M $60.91 239
2014 Q4 51.8M $2.71B -$24.9M $52.74 219
2014 Q3 54.5M $2.56B +$3.2M $47.30 210
2014 Q2 56.5M $2.7B +$68.7M $48.15 208
2014 Q1 59.4M $2.51B +$153M $42.52 195