Steel Dynamics Inc (STLD)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$123M
Holdings value Q1 2024
$18.2B
Value change Q1 2024
-$481M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
817
Number of Buys Q1 2024
362
Number of Sells Q1 2024
-341
Average Buys Q1 2024 %
+0.005%
Average Sells Q1 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 123M $18.2B -$481M $148.23 765
2023 Q4 128M $15.1B -$239M $118.10 776
2023 Q3 132M $14.2B -$245M $107.22 697
2023 Q2 135M $14.7B -$159M $108.93 728
2023 Q1 140M $15.7B -$168M $113.06 741
2022 Q4 143M $13.9B +$311M $97.70 697
2022 Q3 141M $10B -$294M $70.95 603
2022 Q2 146M $9.68B -$207M $66.15 619
2022 Q1 154M $12.8B -$243M $83.43 632
2021 Q4 157M $9.77B -$108M $62.07 590
2021 Q3 159M $9.31B -$275M $58.48 566
2021 Q2 165M $9.85B -$206M $59.60 534
2021 Q1 173M $8.74B +$197M $50.76 497
2020 Q4 171M $6.26B -$31.1M $36.87 470
2020 Q3 173M $4.95B -$56.4M $28.63 431
2020 Q2 175M $4.58B +$122M $26.09 421
2020 Q1 172M $3.89B +$25M $22.54 425
2019 Q4 175M $5.97B +$27.7M $34.04 476
2019 Q3 176M $5.23B +$122M $29.80 445
2019 Q2 177M $5.33B +$286M $30.20 466
2019 Q1 182M $6.41B +$200M $35.27 508
2018 Q4 181M $5.44B +$144M $30.04 509
2018 Q3 196M $8.86B -$26.6M $45.19 538
2018 Q2 200M $9.19B +$236M $45.95 548
2018 Q1 201M $8.91B +$33.5M $44.22 542
2017 Q4 202M $8.73B +$85.2M $43.13 524
2017 Q3 204M $7.04B +$243M $34.47 475
2017 Q2 204M $7.32B +$38.6M $35.81 490
2017 Q1 207M $7.21B +$850M $34.76 463
2016 Q4 211M $7.51B +$532M $35.58 462
2016 Q3 199M $4.98B -$69.5M $24.99 389
2016 Q2 205M $5.03B +$350M $24.50 406
2016 Q1 197M $4.43B +$174M $22.51 349
2015 Q4 194M $3.46B -$18.4M $17.87 331
2015 Q3 199M $3.42B +$230M $17.18 312
2015 Q2 191M $3.93B +$169M $20.72 325
2015 Q1 186M $3.74B +$197M $20.10 319
2014 Q4 184M $3.64B +$150M $19.74 327
2014 Q3 187M $6.56B +$2.03B $22.61 313
2014 Q2 170M $3.06B +$200M $17.95 291
2014 Q1 162M $2.88B +$90.7M $17.79 273