Lyondellbasell Industries NV - common

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / common
Shares, excl. options Q2 2024
48.9K
Holdings value Q2 2024
$4.68M
Value change Q2 2024
+$434K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
1
Number of buys Q2 2024
1
Number of sells Q2 2024
0
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 48.9K $4.68M +$434K $95.66 1
2024 Q1 44.3K $4.54M -$346K $102.28 1
2023 Q4 47.7K $4.54M -$797K $95.08 1
2023 Q3 56.1K $5.31M -$347K $94.70 1
2023 Q2 59.8K $5.49M -$38.3K $91.83 1
2023 Q1 60.2K $5.65M +$94.9K $93.89 1
2022 Q4 59.2K $4.91M -$3.09M $83.03 1
2022 Q3 100K $7.54M -$710K $75.27 2
2022 Q2 110K $9.59M -$299K $87.45 2
2022 Q1 113K $11.6M +$1.8M $102.82 2
2021 Q4 95.6K $8.81M +$269K $92.24 2
2021 Q3 92.6K $8.69M -$304K $93.85 2
2021 Q2 95.9K $9.86M +$584K $102.87 2
2021 Q1 90.2K $9.39M +$1.12M $104.05 2
2020 Q4 79.4K $7.28M -$67.1K $91.66 2
2020 Q3 80.2K $5.65M -$23.7M $70.50 2
2020 Q2 416K $27.4M -$482K $65.72 2
2020 Q1 424K $21M -$8.3M $49.63 2
2019 Q4 591K $55.8M -$4.94M $94.49 2
2019 Q3 643K $57.5M -$217K $89.47 3
2019 Q2 646K $55.6M -$147M $86.13 2
2019 Q1 2.41M $202M +$161M $84.08 4
2018 Q4 493K $41M +$1.82M $83.16 3
2018 Q3 469K $48M -$52.3M $102.51 3
2018 Q2 944K $104M -$88M $109.87 6
2018 Q1 1.78M $188M +$97.7M $105.68 5
2017 Q4 854K $94.2M +$2.57M $110.32 3
2017 Q3 830K $82.2M +$2.92M $99.05 3
2017 Q2 801K $67.6M -$1.94M $84.39 4
2017 Q1 824K $75.1M -$8.97M $91.19 5
2016 Q4 922K $79.1M +$35.4M $85.78 5
2016 Q3 510K $41.1M -$54.5M $80.66 3
2016 Q2 1.19M $88.3M -$1.38M $74.42 4
2016 Q1 1.2M $103M +$10.5M $85.58 4
2015 Q4 1.08M $94M +$9.37M $86.90 3
2015 Q3 973K $81.1M -$5.25M $83.36 3
2015 Q2 1.04M $107M +$4.15M $103.52 3
2015 Q1 996K $87.5M -$13.4M $87.80 3
2014 Q4 1.15M $91.2M +$19.7M $79.39 3
2014 Q3 901K $97.9M +$7.05M $108.66 3
2014 Q2 836K $81.7M +$35.8M $97.65 4
2014 Q1 453K $40.3M +$32.4M $88.94 2