EnLink Midstream, LLC - COM UNIT REP LTD (ENLC)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM UNIT REP LTD
Shares, excl. options Q3 2024
224M
Holdings value Q3 2024
$3.25B
Value change Q3 2024
+$173M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
203
Number of buys Q3 2024
90
Number of sells Q3 2024
-96
Average buys Q3 2024 %
+0.001%
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 224M $3.25B +$173M $14.51 206
2024 Q2 213M $2.93B +$70.9M $13.76 219
2024 Q1 197M $2.69B +$34.6M $13.64 203
2023 Q4 207M $2.52B -$56.5M $12.16 208
2023 Q3 212M $2.59B +$65.8M $12.22 197
2023 Q2 207M $2.19B -$28.7M $10.60 198
2023 Q1 209M $2.27B +$38.4M $10.84 201
2022 Q4 205M $2.52B -$46.6M $12.30 196
2022 Q3 210M $1.86B +$59.7M $8.89 187
2022 Q2 203M $1.72B +$41.8M $8.50 180
2022 Q1 199M $1.92B +$59.9M $9.65 183
2021 Q4 193M $1.33B +$15.9M $6.89 167
2021 Q3 190M $1.3B +$41.9M $6.82 158
2021 Q2 184M $1.17B +$64.9M $6.39 149
2021 Q1 175M $751M +$5.18M $4.29 148
2020 Q4 175M $650M +$25.4M $3.71 137
2020 Q3 171M $401M +$9.16M $2.35 143
2020 Q2 166M $404M -$28M $2.44 135
2020 Q1 195M $214M -$112M $1.10 127
2019 Q4 222M $1.36B -$73M $6.13 183
2019 Q3 227M $1.93B -$242M $8.50 183
2019 Q2 231M $2.33B -$3.72M $10.09 206
2019 Q1 240M $3.06B +$2.31B $12.78 210
2018 Q4 60.8M $577M +$4.6M $9.49 143
2018 Q3 58.4M $961M +$5.81M $16.45 138
2018 Q2 58.7M $971M -$62.4M $16.45 139
2018 Q1 61.5M $901M +$9.84M $14.65 123
2017 Q4 60.9M $1.07B -$24.6M $17.60 126
2017 Q3 61.5M $1.06B -$14.9M $17.25 121
2017 Q2 62.4M $1.1B +$61.9M $17.60 125
2017 Q1 59.1M $1.15B +$14.9M $19.40 129
2016 Q4 58.6M $1.12B +$63.2M $19.05 142
2016 Q3 53.7M $899M +$106M $16.75 127
2016 Q2 45.6M $726M +$65.4M $15.91 124
2016 Q1 41.5M $466M +$23.1M $11.25 113
2015 Q4 39M $580M +$21.4M $15.09 130
2015 Q3 36.7M $670M +$4.87M $18.28 126
2015 Q2 35.4M $1.1B +$26.9M $31.09 148
2015 Q1 34.4M $1.12B -$7.15M $32.54 141
2014 Q4 34.1M $1.21B +$15.5M $35.56 131
2014 Q3 33.2M $1.37B +$42.5M $41.33 138
2014 Q2 32.2M $1.34B +$4.18M $41.66 136
2014 Q1 32.3M $1.1B +$1.1B $33.94 135