COCA COLA CO - COM (KO)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
3.05B
Holdings value Q3 2024
$219B
Value change Q3 2024
-$2.33B
Grand Portfolio weight change Q3 2024
-0.004%
Number of holders
3055
Number of buys Q3 2024
1393
Number of sells Q3 2024
-1350
Average buys Q3 2024 %
+0.012%
Average sells Q3 2024 %
-0.015%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 3.05B $219B -$2.33B $71.86 3,069
2024 Q2 3.08B $196B +$7.12B $63.65 2,972
2024 Q1 2.99B $183B -$1.36B $61.18 2,918
2023 Q4 3.02B $178B +$2.91B $58.93 2,918
2023 Q3 2.97B $166B -$3.51B $55.98 2,776
2023 Q2 3.02B $182B +$269M $60.22 2,833
2023 Q1 3.02B $187B -$664M $62.03 2,819
2022 Q4 3.03B $193B +$1.35B $63.61 2,829
2022 Q3 3.02B $169B +$582M $56.02 2,697
2022 Q2 3.01B $189B +$2.25B $62.91 2,740
2022 Q1 2.99B $185B +$740M $62.00 2,730
2021 Q4 2.97B $176B +$1.96B $59.21 2,704
2021 Q3 2.94B $154B +$1.45B $52.47 2,443
2021 Q2 2.91B $158B +$709M $54.11 2,466
2021 Q1 2.9B $153B +$73.7M $52.71 2,455
2020 Q4 2.9B $159B +$1.25B $54.84 2,450
2020 Q3 2.88B $142B +$201M $49.37 2,281
2020 Q2 2.87B $128B -$2.46B $44.68 2,246
2020 Q1 2.92B $129B -$894M $44.25 2,207
2019 Q4 2.94B $163B +$1.81B $55.35 2,277
2019 Q3 2.93B $159B +$485M $54.44 2,107
2019 Q2 2.92B $149B +$3.4B $50.92 2,085
2019 Q1 2.89B $135B -$610M $46.86 2,072
2018 Q4 2.9B $137B +$2.42B $47.35 2,078
2018 Q3 2.84B $131B +$661M $46.19 1,930
2018 Q2 2.83B $124B -$388M $43.86 1,934
2018 Q1 2.84B $123B +$530M $43.43 1,934
2017 Q4 2.83B $130B +$241M $45.88 1,972
2017 Q3 2.82B $127B +$1.6B $45.01 1,787
2017 Q2 2.78B $125B +$1.75B $44.85 1,797
2017 Q1 2.76B $117B +$8.27B $42.44 1,774
2016 Q4 2.79B $116B +$34.2M $41.46 1,749
2016 Q3 2.79B $118B -$868M $42.32 1,705
2016 Q2 2.81B $127B -$706M $45.33 1,724
2016 Q1 2.82B $131B +$674M $46.39 1,698
2015 Q4 2.81B $121B +$1.56B $42.96 1,682
2015 Q3 2.72B $109B +$2.65B $40.12 1,601
2015 Q2 2.71B $106B -$298M $39.23 1,630
2015 Q1 2.72B $110B +$722M $40.55 1,637
2014 Q4 2.71B $114B +$383M $42.22 1,635
2014 Q3 2.69B $115B +$1.59B $42.66 1,574
2014 Q2 2.65B $112B +$4.26B $42.36 1,567
2014 Q1 2.55B $98.5B -$2.82B $38.66 1,561