CLEVELAND-CLIFFS INC. - COM (CLF)

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
1
Holdings value Q4 2024
$8.00
Value change Q4 2024
-$16.5K
Grand Portfolio weight change Q4 2024
0%
Number of holders
1
Number of buys Q4 2024
0
Number of sells Q4 2024
-1
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 1 $8.00 -$16.5K $8.00 1
2024 Q3 1.3K $16.5K +$64.00 $10.38 2
2024 Q2 1.29K $19.9K +$17.9K $11.70 2
2024 Q1 101 $2.01K -$198K $14.00 2
2023 Q4 10K $205K -$45K $14.23 2
2023 Q3 12.2K $191K +$3.13K $11.82 2
2023 Q2 12K $201K +$669 $12.36 2
2023 Q1 12K $220K +$126K $13.19 2
2022 Q4 5.1K $82K +$75.6K $12.04 2
2022 Q3 400 $5K +$5K $12.50 1
2022 Q1 0 $0 -$14.3M 0
2021 Q4 655K $14.3M +$14.3M $21.77 1
2021 Q3 0 $0 -$22K 0
2021 Q2 1.02K $22K -$3.7M $21.57 1
2021 Q1 185K $3.72M -$263K $20.35 2
2020 Q4 198K $2.88M -$129K $14.63 2
2020 Q3 207K $1.33M -$143K $6.46 3
2020 Q2 231K $1.28M -$98.1K $5.51 4
2020 Q1 249K $983K +$100K $3.95 4
2019 Q4 224K $1.88M -$109K $8.40 1
2019 Q3 237K $1.71M +$178K $7.22 1
2019 Q2 212K $2.26M +$1.94M $10.67 1
2019 Q1 29.7K $297K +$55.8K $10.00 1
2018 Q4 24.1K $185K +$58.8K $7.67 1
2018 Q3 16.5K $208K +$15.3K $12.64 1
2018 Q2 18.8K $158K -$135K $8.39 2
2018 Q1 38.9K $271K -$469K $6.95 4
2017 Q4 104K $746K -$8.44K $7.20 5
2017 Q3 106K $754K -$1.19B $7.14 6
2017 Q2 172M $1.19B -$203M $6.92 241
2017 Q1 195M $1.6B +$660M $8.21 267
2016 Q4 128M $1.08B +$123M $8.41 222
2016 Q3 115M $674M +$95.1M $5.85 203
2016 Q2 99.2M $563M +$66.1M $5.67 180
2016 Q1 87.2M $262M +$60.4M $3.00 163
2015 Q4 76.3M $121M -$15.7M $1.58 163
2015 Q3 85M $207M -$34.7M $2.44 186
2015 Q2 93.3M $403M -$33.7M $4.33 219
2015 Q1 100M $481M -$86.8M $4.81 240
2014 Q4 115M $826M -$55.8M $7.14 264
2014 Q3 118M $1.22B +$55M $10.38 292
2014 Q2 111M $1.67B -$168M $15.05 322
2014 Q1 118M $2.41B -$218M $20.46 359