Chemours Co - COM (CC)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
120M
Holdings value Q3 2024
$2.44B
Value change Q3 2024
+$55.2M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
410
Number of buys Q3 2024
178
Number of sells Q3 2024
-185
Average buys Q3 2024 %
+0.005%
Average sells Q3 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 120M $2.44B +$55.2M $20.32 412
2024 Q2 117M $2.64B +$76.4M $22.57 439
2024 Q1 113M $2.97B -$16.6M $26.26 433
2023 Q4 113M $3.57B -$19.2M $31.54 456
2023 Q3 114M $3.19B -$52.2M $28.05 445
2023 Q2 114M $4.22B +$266M $36.89 462
2023 Q1 108M $3.22B +$762K $29.94 474
2022 Q4 108M $3.3B -$46.7M $30.62 458
2022 Q3 110M $2.72B -$32.3M $24.65 437
2022 Q2 111M $3.54B -$154M $32.02 478
2022 Q1 116M $3.66B -$49.9M $31.48 440
2021 Q4 118M $3.95B -$153M $33.56 466
2021 Q3 122M $3.55B -$58.1M $29.06 430
2021 Q2 124M $4.32B +$38.4M $34.80 419
2021 Q1 124M $3.45B -$11.4M $27.91 393
2020 Q4 124M $3.08B -$33.2M $24.79 393
2020 Q3 126M $2.63B +$8.16M $20.91 350
2020 Q2 126M $1.93B -$70.3M $15.35 352
2020 Q1 133M $1.18B -$25.5M $8.87 343
2019 Q4 133M $2.4B +$35.7M $18.09 392
2019 Q3 131M $1.96B -$55M $14.94 379
2019 Q2 129M $3.1B -$278M $24.00 447
2019 Q1 132M $4.92B -$42.6M $37.16 505
2018 Q4 134M $3.78B -$110M $28.22 466
2018 Q3 136M $5.37B -$59.3M $39.44 518
2018 Q2 138M $6.1B -$79.5M $44.36 540
2018 Q1 139M $6.78B -$126M $48.71 527
2017 Q4 142M $7.11B -$15.5M $50.06 523
2017 Q3 142M $7.18B -$37.2M $50.61 485
2017 Q2 143M $5.42B -$91.5M $37.92 434
2017 Q1 145M $5.59B +$956M $38.50 440
2016 Q4 140M $3.1B +$126M $22.09 370
2016 Q3 137M $2.19B +$53.4M $16.00 337
2016 Q2 141M $1.16B +$156M $8.24 320
2016 Q1 123M $860M +$3.89M $7.00 345
2015 Q4 124M $667M -$38.5M $5.36 365
2015 Q3 123M $796M +$636M $6.47 399
2015 Q2 23.2M $372M +$372M $16.00 62