AIR FRANCE-KLM /FI - ADR (AFLYY)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / ADR
Shares, excl. options Q2 2024
5.43M
Holdings value Q2 2024
$5.02M
Value change Q2 2024
-$97.8K
Grand Portfolio weight change Q2 2024
0%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
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 5.43M $5.02M -$97.8K $0.90 2
2024 Q1 5.53M $6.22M -$55K $1.13 2
2023 Q4 5.58M $8.7M -$5.87K $1.53 2
2023 Q3 5.58M $7.04M +$811 $1.26 2
2023 Q2 5.58M $10.4M +$658 $1.87 2
2023 Q1 5.58M $10.4M -$50.5K $1.87 2
2022 Q4 5.61M $7.63M -$18.8K $1.36 2
2022 Q3 5.62M $7.31M +$55.9K $1.30 2
2022 Q2 5.58M $6.81M -$96.7K $1.22 1
2022 Q1 5.66M $25.7M -$157K $4.54 1
2021 Q4 5.7M $25M -$2.72K $4.39 2
2021 Q3 5.7M $28M -$723K $4.91 2
2021 Q2 5.84M $28.7M -$188K $4.81 3
2021 Q1 5.87M $35.2M -$12.3M $5.99 3
2020 Q4 7.92M $49.4M -$14.7M $6.24 2
2020 Q3 10.3M $35.5M -$21M $3.46 2
2020 Q2 16.4M $74.6M -$21.8M $4.56 3
2020 Q1 21.1M $120M -$543K $5.69 3
2019 Q4 21.2M $234M -$20M $11.01 2
2019 Q3 23M $243M +$1.84M $10.55 2
2019 Q2 22.9M $219M +$683K $9.57 2
2019 Q1 22.8M $256M -$9.82M $11.23 2
2018 Q4 23.7M $258M -$2.95M $10.87 3
2018 Q3 23.9M $247M +$30.2M $10.31 3
2018 Q2 21M $172M +$6.55M $8.18 3
2018 Q1 20.2M $226M +$45.7M $11.18 3
2017 Q4 16.1M $262M -$5.05M $16.25 3
2017 Q3 16.4M $257M -$18.6M $15.66 3
2017 Q2 17.6M $254M -$7.28M $14.42 3
2017 Q1 18.1M $138M -$233K $7.62 3
2016 Q4 18.2M $97.3M -$1.31M $5.36 3
2016 Q3 18.4M $99.4M +$1.32M $5.40 3
2016 Q2 18.2M $116M +$3.3M $6.41 4
2016 Q1 17.6M $169M -$11.2M $9.56 4
2015 Q4 18.8M $141M -$1.34M $7.55 4
2015 Q3 19M $130M -$10.2M $6.93 3
2015 Q2 20.5M $142M -$44.3K $6.96 4
2015 Q1 20.5M $178M -$4.28M $8.71 4
2014 Q4 21M $199M +$12.7M $9.48 4
2014 Q3 19.6M $183M +$665K $9.33 4
2014 Q2 19.6M $246M -$3.06M $12.59 4
2014 Q1 19.8M $298M -$3.52M $15.05 5