Fortune Brands Innovations, Inc. - COM (FBIN)

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
110M
Holdings value Q3 2024
$9.87B
Value change Q3 2024
+$5.31M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
620
Number of buys Q3 2024
250
Number of sells Q3 2024
-298
Average buys Q3 2024 %
+0.002%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 110M $9.87B +$5.31M $89.53 621
2024 Q2 113M $7.31B +$95.2M $64.94 598
2024 Q1 111M $9.37B +$60.6M $84.67 608
2023 Q4 110M $8.4B -$83.4M $76.14 596
2023 Q3 112M $6.95B -$183M $62.16 549
2023 Q2 111M $8.01B +$43M $71.95 563
2023 Q1 111M $6.53B +$59.4M $58.73 535
2022 Q4 111M $6.33B +$4.24M $57.11 566
2022 Q3 111M $5.95B +$15.2M $53.69 590
2022 Q2 111M $6.63B -$231M $59.88 603
2022 Q1 114M $8.46B -$180M $74.28 631
2021 Q4 116M $12.4B -$338M $106.90 692
2021 Q3 119M $10.7B -$212M $89.42 617
2021 Q2 121M $12.1B -$41.6M $99.61 654
2021 Q1 122M $11.7B +$82.8M $95.82 619
2020 Q4 122M $10.5B +$39.8M $85.72 628
2020 Q3 122M $10.5B -$28.1M $86.52 585
2020 Q2 122M $7.82B -$23.5M $63.93 538
2020 Q1 123M $5.31B -$80.6M $43.25 512
2019 Q4 123M $8.01B +$51.5M $65.34 546
2019 Q3 122M $6.66B -$137M $54.70 486
2019 Q2 124M $7.08B +$99.3M $57.13 502
2019 Q1 123M $5.87B +$9.63M $47.61 487
2018 Q4 124M $4.69B -$137M $37.99 490
2018 Q3 125M $6.52B +$94M $52.36 526
2018 Q2 123M $6.62B -$201M $53.69 532
2018 Q1 127M $7.48B -$475M $58.89 531
2017 Q4 134M $9.18B +$13.3M $68.44 550
2017 Q3 126M $8.5B -$106M $67.23 482
2017 Q2 129M $8.43B +$375M $65.24 483
2017 Q1 132M $8.02B +$616M $60.85 485
2016 Q4 134M $7.17B -$322M $53.46 489
2016 Q3 139M $8.08B -$211M $58.10 494
2016 Q2 144M $8.33B +$171M $57.97 470
2016 Q1 141M $7.87B -$346M $56.04 431
2015 Q4 147M $8.17B +$44.4M $55.50 421
2015 Q3 146M $6.93B +$194M $47.47 388
2015 Q2 142M $6.53B +$156M $45.82 359
2015 Q1 139M $6.61B -$136M $47.48 357
2014 Q4 143M $6.46B +$8.58M $45.27 342
2014 Q3 144M $5.93B -$130M $41.11 315
2014 Q2 125M $4.99B -$168M $39.93 318
2014 Q1 140M $5.88B -$115M $42.08 339