BCE INC - PUT

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / PUT
Shares, excl. options Q2 2024
1.57M
Holdings value Q2 2024
$50.7M
Value change Q2 2024
-$46.3M
Grand Portfolio weight change Q2 2024
0%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
-3
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 1.57M $50.7M -$46.3M $32.38 6
2024 Q1 2.94M $100M +$8.14M $34.01 7
2023 Q4 2.7M $107M +$3.91M $39.47 6
2023 Q3 2.61M $99.9M +$41.1M $38.26 6
2023 Q2 1.52M $69.5M -$73.4M $45.59 7
2023 Q1 3.13M $141M -$3.62M $44.75 10
2022 Q4 3.22M $141M +$2.05M $43.91 11
2022 Q3 3.17M $134M +$50.6M $42.14 11
2022 Q2 1.97M $96.5M -$4.85M $49.14 11
2022 Q1 2.06M $114M -$32M $55.47 10
2021 Q4 2.64M $138M +$1.52M $52.10 9
2021 Q3 2.61M $131M -$3.93M $50.07 8
2021 Q2 2.69M $133M -$22.4M $49.35 10
2021 Q1 3.15M $142M -$25.2M $45.14 10
2020 Q4 3.71M $158M -$2.3M $42.72 11
2020 Q3 3.76M $156M +$23.2M $41.34 11
2020 Q2 3.2M $133M +$6.13M $41.57 11
2020 Q1 3.05M $124M -$3.28M $40.56 10
2019 Q4 3.13M $145M +$20.7M $46.39 10
2019 Q3 2.68M $130M +$10.9M $48.40 8
2019 Q2 2.46M $112M +$9.26M $45.59 8
2019 Q1 2.26M $101M +$15.4M $44.42 9
2018 Q4 1.92M $75.8M -$1.48M $39.50 8
2018 Q3 1.95M $79.1M +$8.03M $40.49 8
2018 Q2 1.76M $71.1M +$6.56M $40.48 7
2018 Q1 1.59M $68.4M -$50.1M $43.00 8
2017 Q4 2.63M $127M +$6.69M $48.19 9
2017 Q3 2.49M $117M -$10.7M $46.75 10
2017 Q2 2.72M $122M +$8.31M $44.97 11
2017 Q1 2.54M $112M -$6.07M $44.17 11
2016 Q4 2.67M $116M +$6.77M $43.27 11
2016 Q3 1.35M $62.1M -$4.74M $46.15 8
2016 Q2 2.72M $128M +$6.18M $47.13 11
2016 Q1 2.58M $118M -$1.64M $45.60 9
2015 Q4 2.62M $101M -$608K $38.57 8
2015 Q3 2.64M $108M -$2.56M $40.80 11
2015 Q2 2.7M $115M +$3.51M $42.50 11
2015 Q1 2.62M $115M -$14.4M $42.35 13
2014 Q4 2.94M $136M -$7.86M $45.96 13
2014 Q3 3.08M $136M +$58.6M $42.84 11
2014 Q2 1.65M $76.8M +$19.2M $45.42 8
2014 Q1 1.27M $56M -$26.3M $43.13 9