BARCLAYS BANK PLC - IPATH SELCT MLP (ATMP)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / IPATH SELCT MLP
Shares, excl. options Q2 2024
15.5M
Holdings value Q2 2024
$391M
Value change Q2 2024
+$56.1M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
24
Number of buys Q2 2024
10
Number of sells Q2 2024
-7
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 15.5M $391M +$56.1M $25.10 24
2024 Q1 13.3M $321M +$18.3M $24.13 20
2023 Q4 12.5M $269M +$3.25M $21.48 19
2023 Q3 12.3M $258M +$3.86M $20.95 20
2023 Q2 12.1M $242M -$651K $19.92 19
2023 Q1 668K $12.5M -$5.28M $18.78 16
2022 Q4 12.1M $213M +$21.4M $18.76 22
2022 Q3 10.8M $187M +$5.32M $17.27 18
2022 Q2 10.5M $175M -$3.74M $16.58 19
2022 Q1 10.8M $201M +$10.3M $18.67 18
2021 Q4 10.2M $159M -$9.21M $15.54 20
2021 Q3 10.8M $170M +$7.48M $15.76 19
2021 Q2 10.3M $171M -$13.1M $16.54 18
2021 Q1 11.1M $152M +$1.97M $13.70 20
2020 Q4 11M $128M -$20.6M $11.68 18
2020 Q3 12.8M $116M -$1.89M $9.05 20
2020 Q2 13M $141M -$12.7M $10.85 21
2020 Q1 14.1M $116M -$11M $8.22 22
2019 Q4 15M $267M -$38.1M $17.80 26
2019 Q3 17.3M $317M -$4.43M $18.36 27
2019 Q2 17.5M $353M +$6.49M $20.19 27
2019 Q1 17.2M $351M -$9.15M $20.46 29
2018 Q4 17.7M $314M -$45.5M $17.73 33
2018 Q3 20.2M $421M -$2.92M $20.84 38
2018 Q2 20.3M $412M +$20.9M $20.28 29
2018 Q1 19.3M $353M +$32.6M $18.34 32
2017 Q4 17.6M $366M -$52.8M $20.75 34
2017 Q3 19.8M $423M +$1.62M $21.37 34
2017 Q2 19.7M $439M +$16.1M $22.29 31
2017 Q1 19M $453M +$21.3M $23.89 30
2016 Q4 18.1M $426M +$73.2M $23.54 30
2016 Q3 14.9M $349M +$22.2M $23.37 25
2016 Q2 14M $311M +$20.3M $22.19 22
2016 Q1 13.1M $237M +$33.1M $18.10 22
2015 Q4 11.3M $209M -$1.85M $18.61 25
2015 Q3 10.8M $225M -$69M $20.71 18
2015 Q2 13.1M $359M +$24.2M $27.40 26
2015 Q1 12.2M $356M +$28.8M $29.18 27
2014 Q4 11.3M $344M -$3.63M $30.59 28
2014 Q3 11.4M $368M +$25.5M $32.33 26
2014 Q2 10.6M $334M +$55M $31.56 23
2014 Q1 8.85M $248M +$66.8M $27.73 18