EXXON MOBIL CORP - CALL

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / CALL
Shares, excl. options Q3 2024
24.5K
Holdings value Q3 2024
$2.87M
Value change Q3 2024
-$36.9K
Grand Portfolio weight change Q3 2024
0%
Number of holders
1
Number of buys Q3 2024
0
Number of sells Q3 2024
-1
Average buys Q3 2024 %
0
Average sells Q3 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 24.5K $2.87M -$36.9K $117.22 13
2024 Q2 24.8K $2.85M +$169K $115.12 15
2024 Q1 23.3K $2.33M $0 $116.24 15
2023 Q4 23.3K $2.33M -$6.4K $99.98 17
2023 Q3 23.4K $2.75M +$13.1K $117.58 19
2023 Q2 23.3K $2.5M -$35.3K $107.25 16
2023 Q1 33.2K $3.28M +$14.7K $109.66 20
2022 Q4 23.5K $2.59M -$545K $110.30 17
2022 Q3 45.5K $3.7M +$66.6K $87.31 15
2022 Q2 27.7K $2.37M -$33.2K $85.64 16
2022 Q1 3.6K $297K +$297K $82.59 13
2021 Q4 24.6K $1.5M -$47K $61.19 13
2021 Q3 25.3K $1.49M -$710K $58.82 12
2021 Q2 36.7K $2.31M -$4.06K $63.08 12
2021 Q1 36.8K $2.05M +$5.69K $55.83 11
2020 Q4 36.7K $1.51M -$160K $41.22 13
2020 Q3 40.5K $1.39M -$1.41M $34.33 11
2020 Q2 74.1K $3.31M +$1.33M $44.72 13
2020 Q1 44.4K $1.69M $0 $37.97 12
2019 Q4 $69.78 13
2019 Q3 55.7K $3.93M +$5.51K $70.61 13
2019 Q2 55.6K $4.26M +$16.6K $76.63 13
2019 Q1 55.4K $4.48M +$26.5K $80.80 12
2018 Q4 55.1K $3.76M -$1.86M $68.19 11
2018 Q3 76.6K $6.66M +$1.3M $85.02 11
2018 Q2 63K $5.22M +$104K $82.73 10
2018 Q1 61.8K $4.61M +$29.2K $74.61 11
2017 Q4 61.4K $5.14M -$45K $83.64 9
2017 Q3 61.9K $5.08M +$183K $81.98 10
2017 Q2 59.7K $4.82M -$17.7K $80.73 13
2017 Q1 59.9K $4.91M -$349K $82.01 15
2016 Q4 63.8K $5.76M +$368K $90.26 13
2016 Q3 59.7K $5.21M -$11.1M $87.28 12
2016 Q2 174K $16.3M +$16.3M $93.74 11
2016 Q1 $83.59 10
2015 Q4 $77.95 12
2015 Q3 $74.35 11
2015 Q2 $83.20 12
2015 Q1 $85.00 9
2014 Q4 $92.45 7
2014 Q3 $94.05 8
2014 Q2 $100.68 7
2014 Q1 $97.68 5