United States Steel Corp (X)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$186M
Holdings value Q1 2024
$7.59B
Value change Q1 2024
+$198M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
550
Number of Buys Q1 2024
214
Number of Sells Q1 2024
-253
Average Buys Q1 2024 %
+0.025%
Average Sells Q1 2024 %
-0.014%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 186M $7.59B +$198M $40.78 546
2023 Q4 178M $8.64B +$643M $48.65 582
2023 Q3 171M $5.55B +$203M $32.48 518
2023 Q2 166M $4.16B +$139M $25.01 469
2023 Q1 164M $4.27B +$263M $26.10 482
2022 Q4 162M $4.05B -$287M $25.05 481
2022 Q3 178M $3.22B -$64.3M $18.12 454
2022 Q2 187M $3.34B +$226M $17.91 483
2022 Q1 196M $7.38B +$669M $37.74 508
2021 Q4 188M $4.47B +$163M $23.81 480
2021 Q3 185M $4.08B +$162M $21.97 463
2021 Q2 185M $4.43B +$197M $24.00 430
2021 Q1 181M $4.72B +$1.3B $26.17 388
2020 Q4 136M $2.28B +$222M $16.77 375
2020 Q3 125M $915M +$12.2M $7.34 336
2020 Q2 134M $967M +$234M $7.22 346
2020 Q1 107M $685M -$5.12M $6.31 344
2019 Q4 120M $1.37B +$12.6M $11.41 365
2019 Q3 122M $1.41B +$241M $11.55 365
2019 Q2 106M $1.62B +$132M $15.31 392
2019 Q1 110M $2.14B -$17.6M $19.49 412
2018 Q4 121M $2.21B +$260M $18.24 410
2018 Q3 114M $3.47B +$90.2M $30.48 466
2018 Q2 122M $4.25B +$113M $34.75 465
2018 Q1 128M $4.51B +$545M $35.19 501
2017 Q4 120M $4.24B +$435M $35.19 454
2017 Q3 114M $2.94B +$198M $25.66 410
2017 Q2 113M $2.5B +$386M $22.14 421
2017 Q1 118M $3.99B +$552M $33.81 438
2016 Q4 127M $4.21B +$249M $33.01 415
2016 Q3 126M $2.38B +$521M $18.86 361
2016 Q2 106M $1.8B +$268M $16.86 335
2016 Q1 97.7M $1.57B -$131M $16.05 321
2015 Q4 108M $865M -$12.4M $7.98 309
2015 Q3 127M $1.32B +$106M $10.42 324
2015 Q2 125M $2.55B +$14M $20.62 350
2015 Q1 139M $3.38B +$199M $24.40 378
2014 Q4 147M $3.72B +$136M $26.74 413
2014 Q3 138M $5.41B +$825M $39.17 412
2014 Q2 121M $3.16B +$309M $26.04 362
2014 Q1 111M $3.08B +$552M $27.61 359