FRANCO NEVADA Corp - COM (FNV)

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
134M
Holdings value Q3 2024
$16.7B
Value change Q3 2024
-$110M
Grand Portfolio weight change Q3 2024
0%
Number of holders
469
Number of buys Q3 2024
201
Number of sells Q3 2024
-200
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 134M $16.7B -$110M $124.25 474
2024 Q2 134M $15.9B +$548M $118.52 464
2024 Q1 129M $15.4B -$607M $119.16 484
2023 Q4 134M $14.8B +$389M $110.81 466
2023 Q3 129M $17.3B +$78.9M $133.49 477
2023 Q2 130M $18.5B +$63.1M $142.60 468
2023 Q1 129M $18.8B -$52.5M $145.80 467
2022 Q4 129M $17.7B +$204M $136.48 467
2022 Q3 129M $15.4B +$69M $119.48 451
2022 Q2 128M $16.9B +$127M $131.58 459
2022 Q1 127M $20.2B -$347M $159.52 482
2021 Q4 129M $17.8B -$149M $138.29 465
2021 Q3 129M $16.7B -$41.9M $129.91 420
2021 Q2 129M $18.7B +$368M $145.07 423
2021 Q1 126M $15.8B +$447M $125.29 407
2020 Q4 123M $15.4B +$70.5M $125.33 425
2020 Q3 123M $17.1B -$158M $139.58 419
2020 Q2 124M $17.4B -$326M $139.64 401
2020 Q1 127M $12.7B +$358M $99.52 340
2019 Q4 125M $12.9B +$293M $103.30 335
2019 Q3 121M $11.1B +$63.2M $91.16 312
2019 Q2 122M $10.3B -$75.8M $84.88 293
2019 Q1 123M $9.21B -$265M $75.04 280
2018 Q4 127M $8.87B +$69.3M $70.17 283
2018 Q3 125M $7.83B +$137M $62.55 250
2018 Q2 122M $8.87B +$257M $73.01 262
2018 Q1 118M $8.07B +$177M $68.39 269
2017 Q4 116M $9.23B -$108M $79.95 271
2017 Q3 118M $9.16B +$264M $77.48 256
2017 Q2 115M $8.33B -$73.6M $72.16 237
2017 Q1 115M $7.5B +$136M $65.51 235
2016 Q4 113M $6.71B +$55M $59.76 227
2016 Q3 111M $7.75B -$134M $69.87 232
2016 Q2 116M $8.85B +$83.2M $76.05 233
2016 Q1 113M $7.01B +$748M $61.38 230
2015 Q4 100M $4.57B -$91.8M $45.75 198
2015 Q3 102M $4.49B -$400M $44.02 191
2015 Q2 111M $5.3B +$162M $47.65 198
2015 Q1 107M $5.22B -$251M $48.54 198
2014 Q4 112M $5.56B +$32.1M $49.20 201
2014 Q3 111M $5.46B +$237M $48.89 184
2014 Q2 106M $6.12B +$180M $57.35 171
2014 Q1 103M $4.78B +$17.9M $45.87 174