Southern Copper Corp/ (SCCO)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$63M
Holdings value Q1 2024
$6.71B
Value change Q1 2024
+$504M
Grand Portfolio weight change Q1 2024
+0.001%
Number of holders
591
Number of Buys Q1 2024
275
Number of Sells Q1 2024
-215
Average Buys Q1 2024 %
+0.003%
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 63M $6.71B +$504M $106.52 556
2023 Q4 59.7M $5.14B +$127M $86.07 537
2023 Q3 60M $4.51B +$219M $75.29 503
2023 Q2 57.2M $4.11B -$160M $71.74 519
2023 Q1 59.9M $4.59B +$265M $76.25 520
2022 Q4 59.2M $3.58B +$434M $60.39 490
2022 Q3 54.5M $2.44B +$93.1M $44.84 433
2022 Q2 54.6M $2.72B +$109M $49.81 451
2022 Q1 54.3M $4.11B +$232M $75.90 501
2021 Q4 52.8M $3.26B -$4.07M $61.71 450
2021 Q3 54.6M $3.07B -$140M $56.14 425
2021 Q2 56.2M $3.61B -$115M $64.32 432
2021 Q1 59.7M $4.05B +$67.2M $67.87 422
2020 Q4 60.5M $3.96B +$507M $65.12 380
2020 Q3 54.5M $2.48B -$2.58T $45.27 336
2020 Q2 54M $2.15B +$49M $39.77 299
2020 Q1 53.6M $1.52B +$63.1M $28.16 286
2019 Q4 52.3M $2.22B +$155M $42.48 305
2019 Q3 49.5M $1.69B -$48.9M $34.13 265
2019 Q2 51.9M $1.99B +$127M $38.85 304
2019 Q1 54M $2.14B +$38.8M $39.68 306
2018 Q4 55.8M $1.72B -$2.97M $30.77 310
2018 Q3 58.2M $2.51B +$326M $43.14 296
2018 Q2 59.2M $2.77B +$129M $46.87 302
2018 Q1 57.7M $3.13B +$257M $54.18 316
2017 Q4 53.8M $2.56B +$310M $47.45 293
2017 Q3 49.9M $1.98B +$150M $39.76 259
2017 Q2 46.4M $1.61B -$63.9M $34.63 248
2017 Q1 49.6M $1.78B +$403M $35.89 263
2016 Q4 47.3M $1.51B +$216M $31.94 262
2016 Q3 41.5M $1.09B -$135M $26.30 234
2016 Q2 48.7M $1.31B -$186M $26.98 244
2016 Q1 56.6M $1.57B -$133M $27.71 260
2015 Q4 63.6M $1.66B -$350M $26.12 269
2015 Q3 77.3M $2.06B -$65.5M $26.72 258
2015 Q2 81.8M $2.36B -$43.4M $29.41 264
2015 Q1 86.9M $2.53B -$11.1M $29.18 275
2014 Q4 89.9M $2.53B -$149M $28.20 308
2014 Q3 101M $2.98B +$49.7M $29.65 313
2014 Q2 104M $3.15B +$76M $30.37 322
2014 Q1 103M $3.01B +$322M $29.11 321