FEDERAL SIGNAL CORP /DE/ - COM (FSS)

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
56M
Holdings value Q3 2024
$5.23B
Value change Q3 2024
-$36.5M
Grand Portfolio weight change Q3 2024
0%
Number of holders
382
Number of buys Q3 2024
188
Number of sells Q3 2024
-166
Average buys Q3 2024 %
+0.001%
Average sells Q3 2024 %
-0.632%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 56M $5.23B -$36.5M $93.46 384
2024 Q2 56.4M $4.72B +$79.9M $83.67 354
2024 Q1 55.5M $4.71B -$31M $84.87 339
2023 Q4 56.6M $4.34B +$53.7M $76.74 296
2023 Q3 56M $3.34B -$48.5M $59.73 266
2023 Q2 56.5M $3.62B +$23.3M $64.03 259
2023 Q1 56.1M $3.04B +$44.3M $54.21 235
2022 Q4 55.4M $2.57B +$21.7M $46.47 247
2022 Q3 55M $2.05B -$112M $37.32 213
2022 Q2 55.7M $1.98B +$9.92M $35.60 220
2022 Q1 55.8M $1.88B -$6.27M $33.75 233
2021 Q4 55.8M $2.42B -$11.2M $43.34 233
2021 Q3 55.8M $2.16B +$9.86M $38.62 211
2021 Q2 55.5M $2.23B -$16.6M $40.23 220
2021 Q1 55.8M $2.14B +$20.6M $38.30 203
2020 Q4 55.4M $1.84B +$38.3M $33.17 218
2020 Q3 54.5M $1.59B -$14.5M $29.25 220
2020 Q2 54.9M $1.63B +$9.02M $29.73 220
2020 Q1 54.8M $1.49B -$41.5M $27.28 225
2019 Q4 55.5M $1.79B +$1.41M $32.25 224
2019 Q3 55.4M $1.81B +$37.6M $32.74 219
2019 Q2 54.5M $1.46B +$17.9M $26.75 197
2019 Q1 54.7M $1.42B +$19.9M $25.99 202
2018 Q4 54.1M $1.08B -$7.55M $19.90 196
2018 Q3 54.2M $1.45B +$1.3M $26.78 186
2018 Q2 54.1M $1.26B +$13.9M $23.29 184
2018 Q1 53.5M $1.18B +$19.1M $22.02 172
2017 Q4 52.6M $1.06B +$9.67M $20.09 164
2017 Q3 52M $1.11B +$26M $21.28 147
2017 Q2 51.2M $889M +$1.25M $17.36 148
2017 Q1 51.2M $708M +$91.4M $13.81 152
2016 Q4 51.5M $804M +$10.1M $15.61 169
2016 Q3 50.8M $673M +$7.76M $13.26 159
2016 Q2 50.6M $652M -$26.5M $12.88 170
2016 Q1 52.6M $698M -$18.2M $13.26 169
2015 Q4 53.2M $844M -$6.25M $15.85 179
2015 Q3 54.2M $743M -$4.77M $13.71 170
2015 Q2 53.9M $804M +$16.8M $14.91 179
2015 Q1 52.8M $834M +$3.76M $15.79 180
2014 Q4 52.9M $816M +$11.1M $15.44 184
2014 Q3 52.5M $696M +$2.05M $13.24 177
2014 Q2 51.8M $760M +$20.4M $14.65 172
2014 Q1 50.7M $756M +$15M $14.90 182