AIA GROUP LTD - COM

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
212K
Holdings value Q3 2024
$1.9M
Value change Q3 2024
$0
Grand Portfolio weight change Q3 2024
0%
Number of holders
1
Number of buys Q3 2024
0
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 212K $1.9M $0 $8.97 1
2024 Q2 212K $1.44M -$257K $6.79 1
2024 Q1 250K $1.68M +$502K $6.71 1
2023 Q4 175K $1.52M $0 $8.71 1
2023 Q3 175K $1.43M -$479K $8.15 1
2023 Q2 234K $2.36M $0 $10.09 1
2023 Q1 234K $2.46M +$1.46M $10.53 1
2022 Q4 95.2K $1.06M -$222K $11.12 1
2022 Q3 126K $1.05M $0 $8.34 2
2022 Q2 126K $1.37M -$61.6M $10.83 2
2022 Q1 5.78M $63M +$10.4M $10.53 3
2021 Q4 4.83M $48.6M +$6.61M $10.08 3
2021 Q3 4.17M $46.2M +$2.59M $11.55 3
2021 Q2 3.94M $45.5M -$1.2M $12.42 3
2021 Q1 4.04M $45M +$433K $12.13 3
2020 Q4 4.01M $44.7M +$21.8M $11.69 2
2020 Q3 2.05M $19.6M +$2.24M $9.68 2
2020 Q2 1.81M $16.9M +$2.53M $9.33 2
2020 Q1 1.54M $13.9M +$2.19M $9.05 2
2019 Q4 1.3M $13.6M +$2.43M $10.50 3
2019 Q3 1.07M $10.1M +$538K $9.45 2
2019 Q2 1.01M $10.9M +$802K $10.78 2
2019 Q1 936K $9.31M +$9.31M $9.96 2
2018 Q4 900 $7.47K -$8.31M $8.30 1
2018 Q3 931K $8.32M +$3.39M $8.93 2
2018 Q2 552K $4.82M +$4.81M $8.74 2
2018 Q1 900 $7.61K $0 $8.46 1
2017 Q4 900 $7.67K $0 $8.53 1
2017 Q3 900 $6.64K $0 $7.37 1
2017 Q2 900 $6.58K $0 $7.31 1
2017 Q1 900 $5.68K +$5.04K $6.31 1
2016 Q4 100 $564 -$29.3M $5.64 1
2016 Q3 4.41M $29.3M -$1.01M $6.65 3
2016 Q2 4.57M $27.3M -$493K $5.97 4
2016 Q1 4.65M $26.4M +$14.7K $5.67 4
2015 Q4 4.65M $28M -$325M $6.01 4
2015 Q3 67.6M $349M -$329M $5.17 5
2015 Q2 68M $445M +$26M $6.55 4
2015 Q1 64.1M $403M -$4.24M $6.29 5
2014 Q4 64.8M $360M +$36.2M $5.56 3
2014 Q3 58.2M $301M +$75.3M $5.17 3
2014 Q2 43.7M $220M -$4.56M $5.03 2
2014 Q1 44.6M $212M -$82.6M $4.74 2