AES CORP - COM (AES)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
694M
Holdings value Q2 2024
$12.2B
Value change Q2 2024
+$256M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
681
Number of buys Q2 2024
404
Number of sells Q2 2024
-253
Average buys Q2 2024 %
+0.004%
Average sells Q2 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 235K $4.66M -$14.7M $20.06 10
2024 Q2 694M $12.2B +$256M $17.57 684
2024 Q1 673M $12.1B +$285M $17.93 641
2023 Q4 657M $12.6B +$538M $19.25 621
2023 Q3 629M $9.56B -$133M $15.20 603
2023 Q2 632M $13.1B -$140M $20.73 620
2023 Q1 637M $15.3B -$3.63M $24.08 662
2022 Q4 638M $18.4B -$43M $28.76 672
2022 Q3 638M $14.4B +$33.6M $22.60 605
2022 Q2 636M $13.4B +$301M $21.01 571
2022 Q1 622M $16B +$167M $25.73 586
2021 Q4 617M $15B +$61.7M $24.30 600
2021 Q3 616M $14.1B -$30.5M $22.83 568
2021 Q2 615M $16B -$146M $26.07 590
2021 Q1 620M $16.6B +$92.8M $26.81 572
2020 Q4 620M $14.6B +$325M $23.50 541
2020 Q3 602M $10.9B -$262M $18.11 512
2020 Q2 618M $8.94B +$26.3M $14.49 500
2020 Q1 614M $8.34B -$48.3M $13.60 513
2019 Q4 619M $12.3B +$174M $19.90 538
2019 Q3 612M $10B -$7.09M $16.34 514
2019 Q2 615M $10.3B +$80.9M $16.76 543
2019 Q1 613M $11.1B -$102M $18.08 580
2018 Q4 620M $8.97B -$126M $14.46 540
2018 Q3 629M $8.8B -$173M $14.00 518
2018 Q2 641M $8.6B +$188M $13.41 510
2018 Q1 627M $7.13B +$130M $11.37 493
2017 Q4 619M $6.7B +$24.9M $10.83 477
2017 Q3 608M $6.7B +$18.8M $11.02 468
2017 Q2 536M $5.96B -$62.4M $11.11 477
2017 Q1 546M $6.11B -$18M $11.18 467
2016 Q4 634M $7.37B -$11.8M $11.62 465
2016 Q3 637M $8.18B +$32.9M $12.85 433
2016 Q2 621M $7.74B -$84.5M $12.48 404
2016 Q1 623M $7.35B -$137M $11.80 395
2015 Q4 651M $6.23B -$70M $9.57 376
2015 Q3 647M $6.33B -$152M $9.79 395
2015 Q2 647M $8.58B +$564M $13.26 381
2015 Q1 598M $7.68B +$11.2M $12.85 385
2014 Q4 598M $8.23B +$33.3M $13.77 400
2014 Q3 595M $8.43B -$144M $14.18 398
2014 Q2 604M $9.39B +$26.3M $15.55 400
2014 Q1 603M $8.61B +$47.7M $14.28 406