ASHLAND INC. - COM (ASH)

Historical Portfolio Holders from Q4 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
45.6M
Holdings value Q2 2024
$4.31B
Value change Q2 2024
-$84.6M
Grand Portfolio weight change Q2 2024
0%
Number of holders
369
Number of buys Q2 2024
171
Number of sells Q2 2024
-160
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 40.2K $3.5M -$50.1K $86.97 6
2024 Q2 45.6M $4.31B -$84.6M $94.49 370
2024 Q1 46.4M $4.52B -$75.4M $97.37 365
2023 Q4 47M $3.97B -$15.8M $84.31 329
2023 Q3 47.2M $3.85B +$24M $81.68 318
2023 Q2 47M $4.08B -$197M $86.91 332
2023 Q1 48.8M $5.02B -$206M $102.71 350
2022 Q4 50.4M $5.42B -$101M $107.53 362
2022 Q3 51.3M $4.87B -$37M $94.97 326
2022 Q2 51.5M $5.3B -$129M $103.05 323
2022 Q1 53M $5.22B -$230M $98.41 306
2021 Q4 55M $5.93B -$371M $107.66 317
2021 Q3 57.7M $5.15B -$34.2M $89.12 299
2021 Q2 58.4M $5.11B -$49.7M $87.50 300
2021 Q1 58.9M $5.23B +$179M $88.77 321
2020 Q4 57M $4.52B +$92M $79.20 316
2020 Q3 56.1M $3.98B -$1.85M $70.92 308
2020 Q2 55.9M $3.87B -$1.47M $69.10 278
2020 Q1 56.3M $2.82B -$31.6M $50.07 264
2019 Q4 55.7M $4.26B +$11M $76.53 319
2019 Q3 55.4M $4.27B -$234M $77.05 317
2019 Q2 58.3M $4.66B +$27.1M $79.97 317
2019 Q1 59.4M $4.65B +$121M $78.13 320
2018 Q4 58.3M $4.14B -$48.6M $70.96 341
2018 Q3 58.5M $4.91B +$25.3M $83.86 332
2018 Q2 58.3M $4.56B +$51.7M $78.18 320
2018 Q1 59.5M $4.15B +$91.8M $69.79 320
2017 Q4 58.3M $4.15B -$1.09M $71.20 317
2017 Q3 57.6M $3.76B -$8.65M $65.39 290
2017 Q2 57.5M $3.79B +$27M $65.91 296
2017 Q1 55.3M $6.84B +$776M $123.81 338
2016 Q4 54.4M $5.95B -$76.3M $109.29 338
2016 Q3 55M $6.38B +$6.38B $115.95 335
2016 Q2 1.51K $173K -$92K $102.84 2
2016 Q1 3.49K $346K -$5.55K $100.43 4
2015 Q4 72 $7K $0 $97.22 1