FEDERAL HOME LOAN MORTGAGE CORP - COM (FMCC)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
465K
Holdings value Q3 2024
$535K
Value change Q3 2024
-$4.08K
Grand Portfolio weight change Q3 2024
0%
Number of holders
3
Number of buys Q3 2024
1
Number of sells Q3 2024
-2
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 465K $535K -$4.08K $1.15 3
2024 Q2 467K $631K -$93.8K $1.35 4
2024 Q1 538K $727K +$83.7K $1.35 6
2023 Q4 474K $403K +$54.5K $0.85 3
2023 Q3 410K $243K -$6.72K $0.59 4
2023 Q2 420K $182K +$13.8K $0.43 4
2023 Q1 383K $156K +$24.3K $0.41 2
2022 Q4 327K $116K +$15.5K $0.39 4
2022 Q3 325K $169K +$149K $0.52 3
2022 Q2 40.6K $17K -$218K $0.41 3
2022 Q1 322K $255K -$4.9K $0.81 5
2021 Q4 327K $272K -$896K $0.83 7
2021 Q3 1.38M $1.14M -$339K $0.82 7
2021 Q2 1.76M $2.53M +$43.9K $1.44 12
2021 Q1 1.72M $3.52M -$451K $2.05 12
2020 Q4 1.94M $4.52M -$982K $2.33 11
2020 Q3 2.37M $4.52M +$1.66M $1.90 11
2020 Q2 1.49M $3.27M -$61.2K $2.19 10
2020 Q1 1.83M $2.56M +$370K $1.40 12
2019 Q4 1.37M $4.12M -$409K $3.00 11
2019 Q3 1.48M $5.31M -$4.13M $3.57 11
2019 Q2 3.13M $8.13M +$4.48M $2.60 13
2019 Q1 1.4M $3.78M +$433K $2.69 12
2018 Q4 1.24M $1.32M +$1.18M $1.07 7
2018 Q3 130K $184K +$29.1K $1.41 8
2018 Q2 121K $192K +$17K $1.59 6
2018 Q1 110K $149K -$143K $1.36 5
2017 Q4 167K $420K -$860K $2.52 7
2017 Q3 458K $1.32M +$62K $2.90 7
2017 Q2 437K $975K -$11.8K $2.24 6
2017 Q1 441K $1.1M -$310K $2.48 6
2016 Q4 554K $2.07M -$1.98M $3.73 10
2016 Q3 1.95M $3.06M +$12.7K $1.57 11
2016 Q2 1.95M $3.6M +$564K $1.84 13
2016 Q1 1.65M $2.21M +$1.8M $1.34 9
2015 Q4 276K $447K -$57.6K $1.62 12
2015 Q3 653K $1.43M -$1.78M $2.20 12
2015 Q2 1.46M $3.36M -$465K $2.21 13
2015 Q1 1.68M $3.83M +$2.18M $2.28 14
2014 Q4 725K $1.49M -$52.7K $2.06 12
2014 Q3 730K $1.93M -$80.8M $2.64 11
2014 Q2 21.7M $83.7M +$10.4M $3.86 15
2014 Q1 19M $73.3M -$4.19M $3.86 13