AT&T CORP - COMMON STOCK

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COMMON STOCK
Shares, excl. options Q3 2024
45.5K
Holdings value Q3 2024
$1M
Value change Q3 2024
+$70.4K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
2
Number of buys Q3 2024
1
Number of sells Q3 2024
0
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 45.5K $1M +$70.4K $18.00 2
2024 Q2 42.3K $809K -$4.24K $16.56 2
2024 Q1 42.5K $749K +$5.37K $15.80 2
2023 Q4 42.2K $709K -$6.85K $15.39 2
2023 Q3 42.6K $640K -$345 $14.51 2
2023 Q2 42.7K $680K -$3.51K $14.98 2
2023 Q1 42.9K $825K +$93.9K $16.63 2
2022 Q4 38K $700K -$279K $16.21 2
2022 Q3 55.1K $846K +$13K $15.36 2
2022 Q2 54.3K $1.14M +$303K $20.94 2
2022 Q1 39.8K $940K $0 $23.63 1
2021 Q3 0 $0 -$4.4M 0
2021 Q2 153K $4.4M +$56K $28.77 2
2021 Q1 151K $4.57M -$430K $30.27 1
2020 Q4 165K $4.75M -$272K $28.76 1
2020 Q3 175K $4.98M -$675K $28.51 1
2020 Q2 197K $5.95M -$182K $30.24 2
2020 Q1 203K $5.91M -$474K $29.16 2
2019 Q4 219K $8.56M -$1.77M $39.09 2
2019 Q3 264K $10M -$385K $37.84 2
2019 Q2 275K $9.2M -$421K $33.51 2
2019 Q1 287K $9.01M -$424K $31.36 2
2018 Q4 301K $8.58M -$2.53M $28.54 2
2018 Q3 387K $13M +$344K $33.58 3
2018 Q2 377K $12.1M +$7.34M $32.10 3
2018 Q1 148K $5.29M -$1.49M $35.65 3
2017 Q4 190K $7.39M -$179K $38.87 3
2017 Q3 195K $7.62M -$608K $39.17 3
2017 Q2 210K $7.93M -$1M $37.73 3
2017 Q1 235K $9.76M -$561K $41.55 4
2016 Q4 248K $10.6M -$128K $42.53 5
2016 Q3 251K $10.2M -$5.1M $40.61 5
2016 Q2 369K $16M +$4.6M $43.21 6
2016 Q1 159K $6.24M -$3.51M $39.17 4
2015 Q4 367K $12.6M +$2.39M $34.41 5
2015 Q3 297K $9.76M +$756K $32.58 5
2015 Q2 274K $9.73M -$3.62M $35.51 6
2015 Q1 383K $12.5M +$4.76M $32.65 6
2014 Q4 237K $7.96M -$5.16M $33.58 5
2014 Q3 337K $11.9M +$4.8M $35.23 5
2014 Q2 200K $7.09M -$3.75M $35.36 6
2014 Q1 307K $10.8M +$1.44M $35.08 7