Shinhan Financial Group Co Ltd (SHG)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / SPN ADR RESTRD
Shares, Excl. Options Q1 2024
$14M
Holdings value Q1 2024
$498M
Value change Q1 2024
+$34.6M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
176
Number of Buys Q1 2024
93
Number of Sells Q1 2024
-55
Average Buys Q1 2024 %
+0%
Average Sells Q1 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 14M $498M +$34.6M $35.49 165
2023 Q4 13.1M $403M +$12.1M $30.78 157
2023 Q3 14.2M $376M -$10.6M $26.49 152
2023 Q2 14.6M $380M +$15M $26.06 134
2023 Q1 14.1M $375M +$23.9M $26.94 131
2022 Q4 13.4M $375M +$8.05M $27.93 143
2022 Q3 13.2M $303M +$1.73M $23.00 126
2022 Q2 13.2M $378M +$33.6M $28.56 130
2022 Q1 13.5M $450M +$15.7M $33.43 138
2021 Q4 13.2M $407M +$4.59M $30.91 136
2021 Q3 13.3M $446M -$49.8M $33.67 135
2021 Q2 14.9M $533M +$42.9M $35.85 128
2021 Q1 13.7M $459M +$50.7M $33.54 125
2020 Q4 13.6M $405M -$16.5M $29.76 112
2020 Q3 14.4M $331M +$23.3M $22.97 103
2020 Q2 13.5M $326M +$45.2M $24.06 105
2020 Q1 11.8M $276M -$1.05M $23.31 104
2019 Q4 12.1M $459M -$952K $38.07 114
2019 Q3 12.4M $433M -$25.7M $34.99 111
2019 Q2 13.3M $516M +$18.8M $38.88 121
2019 Q1 13.4M $498M +$20M $37.15 122
2018 Q4 13.1M $464M +$1.94M $35.49 124
2018 Q3 13.5M $541M +$4.04M $40.13 108
2018 Q2 13.5M $519M +$2.69M $38.48 107
2018 Q1 13.5M $573M +$41M $42.40 107
2017 Q4 12.9M $599M +$39.2M $46.40 110
2017 Q3 12.1M $538M +$16.5M $44.30 88
2017 Q2 12.6M $548M +$35.7M $43.49 101
2017 Q1 12M $499M +$28.8M $41.79 100
2016 Q4 12.1M $454M +$26.3M $37.64 98
2016 Q3 11.3M $414M +$1.91M $36.44 94
2016 Q2 11.5M $378M +$14.5M $32.74 96
2016 Q1 11.6M $409M -$16.4M $35.21 94
2015 Q4 12.2M $410M +$11.3M $33.59 93
2015 Q3 12.1M $421M +$24.8M $34.80 84
2015 Q2 11.8M $421M +$50.5M $37.06 85
2015 Q1 10.6M $397M -$5.53M $37.30 81
2014 Q4 10.9M $441M +$36.7M $40.39 84
2014 Q3 10.2M $466M +$32.4M $45.46 82
2014 Q2 9.56M $439M +$10.3M $45.86 77
2014 Q1 9.56M $420M +$1.74M $43.95 75