BB&T CORP - COM (BBT)

Historical Institutional Holders from Q1 2014 to Q4 2024

All holders as of December 31, 2024
Q4 2024
Type / Class
Equity / COM
Shares, excl. options Q4 2024
25K
Holdings value Q4 2024
$932K
Value change Q4 2024
$0
Grand Portfolio weight change Q4 2024
0%
Number of holders
1
Number of buys Q4 2024
0
Number of sells Q4 2024
0
Average buys Q4 2024 %
0
Average sells Q4 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 Q4 25K $932K $0 $37.34 1
2022 Q3 0 $0 -$498K 0
2022 Q2 10.5K $498K +$275K $47.39 1
2022 Q1 4.71K $267K -$277K $56.68 1
2021 Q4 10.4K $553K -$15.2M $53.83 2
2021 Q3 264K $15.5M -$260K $58.91 2
2021 Q2 268K $14.9M -$33.1K $55.56 2
2021 Q1 269K $15.7M -$1.83M $58.36 2
2020 Q4 300K $14.4M -$1.42M $47.92 2
2020 Q3 330K $12.6M -$197K $38.07 2
2020 Q2 334K $12.6M -$548K $37.55 3
2020 Q1 338K $10.9M -$948M $30.84 3
2019 Q4 16.6M $932M -$28.7B $56.32 7
2019 Q3 556M $29.7B +$656M $53.37 1,025
2019 Q2 544M $26.7B +$991M $49.13 1,035
2019 Q1 528M $24.6B +$1.48B $46.53 1,041
2018 Q4 497M $21.5B -$183M $43.32 1,051
2018 Q3 499M $24.2B -$349M $48.54 1,018
2018 Q2 507M $25.6B +$657M $50.44 1,023
2018 Q1 501M $26B +$118M $52.04 1,022
2017 Q4 498M $24.8B -$1.13B $49.72 976
2017 Q3 521M $24.4B -$113M $46.94 879
2017 Q2 526M $23.9B +$110M $45.41 876
2017 Q1 527M $23.5B +$1.71B $44.70 899
2016 Q4 533M $25.1B +$528M $47.02 868
2016 Q3 525M $19.8B +$263M $37.72 784
2016 Q2 517M $18.4B +$768M $35.61 747
2016 Q1 496M $16.5B +$116M $33.27 745
2015 Q4 493M $18.7B +$313M $37.81 754
2015 Q3 485M $17.3B +$858M $35.60 740
2015 Q2 461M $18.6B +$146M $40.31 722
2015 Q1 459M $17.9B +$331M $38.99 691
2014 Q4 451M $17.5B +$550M $38.89 716
2014 Q3 435M $16.2B +$272M $37.21 664
2014 Q2 427M $16.8B -$149M $39.43 680
2014 Q1 431M $17.3B +$949M $40.17 685