EVERSOURCE ENERGY - COM (ES)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
289M
Holdings value Q2 2024
$16.4B
Value change Q2 2024
+$388M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
791
Number of buys Q2 2024
163
Number of sells Q2 2024
-126
Average buys Q2 2024 %
+0.001%
Average sells Q2 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 15.2M $1.03B -$10.8M $68.05 356
2024 Q2 289M $16.4B +$388M $56.71 795
2024 Q1 281M $16.8B +$102M $59.77 789
2023 Q4 279M $17.2B +$167M $61.72 796
2023 Q3 276M $16B -$213M $58.15 774
2023 Q2 279M $19.8B +$139M $70.92 827
2023 Q1 276M $21.6B +$85.5M $78.26 839
2022 Q4 275M $23.1B +$153M $83.84 848
2022 Q3 273M $21.3B +$65.5M $77.96 808
2022 Q2 272M $23B +$542M $84.47 835
2022 Q1 268M $23.6B -$593M $88.19 831
2021 Q4 274M $24.9B +$210M $90.98 801
2021 Q3 271M $22.2B +$375M $81.76 743
2021 Q2 267M $21.4B -$190M $80.24 760
2021 Q1 268M $23.2B +$256M $86.59 773
2020 Q4 266M $23B +$7.31M $86.51 793
2020 Q3 267M $22.3B -$754M $83.55 751
2020 Q2 274M $22.8B +$786M $83.27 735
2020 Q1 265M $20.7B -$722M $78.21 723
2019 Q4 273M $23.2B +$552M $85.07 748
2019 Q3 267M $22.8B +$914M $85.47 687
2019 Q2 257M $19.4B +$1.62B $75.76 677
2019 Q1 237M $16.8B +$164M $70.95 682
2018 Q4 235M $15.2B -$30.8M $65.04 680
2018 Q3 232M $14.3B +$891M $61.44 626
2018 Q2 220M $12.9B -$667M $58.61 622
2018 Q1 236M $13.9B +$101M $58.92 617
2017 Q4 234M $14.8B +$176M $63.18 632
2017 Q3 231M $13.9B -$2.45M $60.44 602
2017 Q2 231M $14B +$347M $60.71 584
2017 Q1 227M $13.3B +$1.5B $58.78 574
2016 Q4 224M $12.4B +$7.27M $55.23 575
2016 Q3 224M $12.1B +$1.56M $54.18 546
2016 Q2 222M $13.3B -$88.9M $59.90 571
2016 Q1 223M $13B +$120M $58.34 539
2015 Q4 223M $11.4B +$178M $51.07 534
2015 Q3 222M $11.2B -$151M $50.62 488
2015 Q2 223M $10.1B +$79.3M $45.41 475
2015 Q1 223M $11.2B +$11.2B $50.52 464
2014 Q4 564 $31K $0 $56.27 2
2014 Q1 500 $25.3K -$2.2M $50.52 1