Willis Towers Watson PLC - common

Historical Portfolio Holders from Q1 2016 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / common
Shares, excl. options Q2 2024
20.2K
Holdings value Q2 2024
$5.31M
Value change Q2 2024
+$931K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
2
Number of buys Q2 2024
2
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 20.2K $5.31M +$931K $262.14 2
2024 Q1 16.7K $4.59M -$1.31M $275.00 1
2023 Q4 21.4K $5.17M +$536K $241.20 1
2023 Q3 19.2K $4.02M -$384K $208.96 1
2023 Q2 20.8K $4.9M $0 $235.50 2
2023 Q1 20.8K $4.84M +$472K $232.37 2
2022 Q4 18.8K $4.59M -$3.06M $244.58 1
2022 Q3 34K $6.83M -$292K $200.93 2
2022 Q2 35.4K $7M -$114K $197.39 2
2022 Q1 36K $8.51M +$334K $236.22 2
2021 Q4 34.6K $8.22M +$126K $237.49 2
2021 Q3 34.1K $7.92M +$123K $232.47 2
2021 Q2 33.6K $7.72M +$66.7K $230.01 2
2021 Q1 33.3K $7.61M +$358K $228.88 2
2020 Q4 31.7K $6.68M +$81.7K $210.68 2
2020 Q3 31.3K $6.54M -$25.7K $208.82 2
2020 Q2 31.4K $6.19M -$351K $196.94 2
2020 Q1 33.8K $5.74M -$1.96M $169.83 3
2019 Q4 45.3K $9.16M -$1.95M $201.93 2
2019 Q3 55K $10.6M +$136K $192.96 2
2019 Q2 54.3K $10.4M -$202K $191.53 2
2019 Q1 61.1K $10.7M +$4.66M $175.65 3
2018 Q4 34.6K $5.25M -$198K $151.87 2
2018 Q3 35.9K $5.06M -$6.09M $140.93 2
2018 Q2 76.1K $11.5M +$1.57M $151.60 3
2018 Q1 65.7K $9.99M -$90.5K $152.19 3
2017 Q4 66.3K $9.99M +$492K $150.69 4
2017 Q3 63K $9.72M +$491K $154.23 3
2017 Q2 59.8K $8.7M +$1.54M $145.46 3
2017 Q1 49.2K $6.44M +$416K $130.90 3
2016 Q4 46.1K $5.63M -$3.4M $122.28 4
2016 Q3 71.8K $9.53M -$4.54M $132.78 4
2016 Q2 109K $13.5M -$34.2M $124.31 7
2016 Q1 384K $45.5M +$45.5M $118.66 6