BNY MELLON STRATEGIC MUNICIPAL BOND FUND, INC. - COM (DSM)

Historical Institutional Holders from Q1 2014 to Q2 2020

All holders as of June 30, 2020
Q2 2020
Type / Class
Equity / COM
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2020 Q2 0 $0 -$1.37M 0
2020 Q1 191K $1.37M +$86.9K $7.17 1
2019 Q4 179K $1.43M -$5.59K $7.99 1
2019 Q3 180K $1.51M -$133K $8.41 1
2019 Q2 197K $1.56M -$39.3M $7.93 3
2019 Q1 5.28M $40.8M -$4.53M $7.73 66
2018 Q4 5.92M $41.3M +$921K $6.98 76
2018 Q3 5.67M $41.7M +$861K $7.34 69
2018 Q2 5.45M $41.3M +$5.41M $7.57 64
2018 Q1 4.73M $36M +$8.75M $7.61 63
2017 Q4 3.6M $30.8M -$1.7M $8.55 53
2017 Q3 3.77M $31.9M -$1.5M $8.47 53
2017 Q2 3.91M $33.2M +$1.14M $8.51 53
2017 Q1 3.78M $31.1M -$1.65M $8.28 48
2016 Q4 3.98M $32M +$1.14M $8.04 51
2016 Q3 3.82M $33.8M -$2.55M $8.86 50
2016 Q2 4.13M $37.4M +$326K $9.07 53
2016 Q1 3.96M $33.7M -$2.04M $8.51 51
2015 Q4 4.2M $33.9M +$2.84M $8.07 59
2015 Q3 3.84M $30M +$1.78M $7.81 50
2015 Q2 3.61M $27.6M +$3.71M $7.67 45
2015 Q1 3.17M $25.7M +$2.96M $8.09 45
2014 Q4 2.81M $22.4M +$6.73M $7.96 49
2014 Q3 1.84M $14.8M -$92.7K $8.05 37
2014 Q2 1.85M $15.4M -$683K $8.29 38
2014 Q1 1.94M $15.1M -$2.63M $7.80 38