Vale S.A. (VALE)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / SPONSORED ADS
Shares, Excl. Options Q1 2024
$649M
Holdings value Q1 2024
$7.9B
Value change Q1 2024
-$766M
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
558
Number of Buys Q1 2024
248
Number of Sells Q1 2024
-232
Average Buys Q1 2024 %
+0.006%
Average Sells Q1 2024 %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 649M $7.9B -$766M $12.19 537
2023 Q4 713M $11.3B +$175M $15.86 536
2023 Q3 712M $9.54B -$458M $13.40 516
2023 Q2 752M $10.1B -$705M $13.42 506
2023 Q1 851M $13.4B -$664M $15.78 524
2022 Q4 942M $16B +$238M $16.97 537
2022 Q3 938M $12.5B -$220M $13.32 499
2022 Q2 964M $14.1B -$1.34B $14.63 522
2022 Q1 1.08B $21.6B -$1.45B $19.99 523
2021 Q4 1.17B $16.4B +$104M $14.02 472
2021 Q3 1.19B $16.6B -$744M $13.95 465
2021 Q2 1.26B $28.8B +$865M $22.81 490
2021 Q1 1.28B $22.2B +$2.22B $17.38 456
2020 Q4 1.18B $19.7B +$3.77B $16.76 414
2020 Q3 969M $10.3B +$469M $10.58 360
2020 Q2 952M $9.84B +$833M $10.31 349
2020 Q1 888M $7.47B +$118M $8.29 341
2019 Q4 929M $12.2B +$330M $13.20 337
2019 Q3 924M $11.5B +$35.5M $11.50 335
2019 Q2 952M $12.8B +$121M $13.44 345
2019 Q1 1B $12.3B +$419M $13.06 376
2018 Q4 1.03B $13.6B +$22.6M $13.19 406
2018 Q3 1.04B $17.9B -$25.9B $14.84 383
2018 Q2 1.06B $38.1B +$9.82B $12.82 386
2018 Q1 1.02B $12.9B +$578M $12.72 389
2017 Q4 997M $12.2B +$175M $12.23 384
2017 Q3 993M $9.99B +$4.97B $10.07 347
2017 Q2 493M $4.31B +$667M $8.75 326
2017 Q1 442M $4.2B +$415M $9.50 309
2016 Q4 439M $3.35B +$151M $7.62 317
2016 Q3 424M $2.34B +$29.9M $5.50 306
2016 Q2 444M $2.24B +$56.6M $5.06 275
2016 Q1 445M $1.87B -$44.6M $4.21 274
2015 Q4 501M $1.76B -$15.9M $3.29 280
2015 Q3 545M $2.29B -$13.1M $4.20 307
2015 Q2 572M $3.37B +$198M $5.89 329
2015 Q1 594M $3.35B +$415M $5.65 334
2014 Q4 533M $4.35B +$203M $8.18 346
2014 Q3 520M $6.29B +$695M $11.01 376
2014 Q2 507M $6.72B +$174M $13.23 399
2014 Q1 502M $7.09B +$1.24B $13.83 386