COMPANHIA BRASILEIRA DE DIST - SPN ADR PFD CL A (CBD) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2023

Type / Class
Equity / SPN ADR PFD CL A
Symbol
CBD
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of COMPANHIA BRASILEIRA DE DIST - SPN ADR PFD CL A (CBD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2023 Q1 0 $0 -$930 0
2022 Q4 300 $930 +$930 $3.10 1
2021 Q3 0 $0 -$240,000 0
2021 Q2 30,992 $240,000 $7.74 1
2021 Q1 30,992 $185,000 -$5,211 $5.97 1
2020 Q4 31,865 $455,000 $14.28 1
2020 Q3 31,865 $397,000 +$4,784 $12.46 1
2020 Q2 31,481 $416,000 -$14,641,940 $13.21 1
2020 Q1 1,198,927 $15,038,000 -$638,000,439 $12.60 5
2019 Q4 32,521,165 $711,175,980 +$21,212,914 $21.87 86
2019 Q3 31,685,538 $608,994,476 -$14,213,638 $19.23 105
2019 Q2 31,854,600 $779,563,198 -$59,203,091 $24.48 114
2019 Q1 34,879,118 $809,880,008 +$10,155,282 $23.28 117
2018 Q4 34,738,918 $721,491,709 -$75,542,794 $20.77 103
2018 Q3 38,359,816 $824,006,673 -$63,548,927 $21.48 85
2018 Q2 41,377,165 $828,033,931 -$2,821,276 $19.98 75
2018 Q1 41,509,085 $838,462,475 -$58,286,388 $20.20 80
2017 Q4 44,017,922 $1,037,513,561 -$27,986,994 $23.57 87
2017 Q3 45,182,486 $1,069,580,746 +$22,686,333 $23.67 95
2017 Q2 44,752,101 $874,890,211 -$69,506,131 $19.55 92
2017 Q1 47,600,920 $913,950,126 -$13,018,482 $19.20 91
2016 Q4 49,075,594 $812,252,000 -$55,134,442 $16.55 96
2016 Q3 52,727,177 $863,243,057 -$31,374,711 $16.39 95
2016 Q2 55,497,887 $807,930,346 +$63,778,897 $14.55 88
2016 Q1 51,200,675 $713,099,751 +$111,129,525 $13.91 88
2015 Q4 43,348,657 $461,172,760 +$72,785,390 $10.52 87
2015 Q3 36,478,465 $457,391,766 -$195,190,516 $12.54 91
2015 Q2 43,530,096 $1,030,259,797 -$107,649,954 $23.67 110
2015 Q1 47,382,408 $1,414,761,086 -$10,641,371 $29.82 127
2014 Q4 47,015,040 $1,731,314,993 +$6,132,433 $36.83 135
2014 Q3 46,480,443 $2,026,981,132 +$67,646,082 $43.61 132
2014 Q2 44,895,805 $2,080,088,601 -$116,276,087 $46.33 126
2014 Q1 47,281,113 $2,069,584,623 -$71,495,493 $43.76 126