FRANKLIN ELECTRIC CO INC - COM (FELE)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
36.9M
Holdings value Q2 2024
$3.55B
Value change Q2 2024
+$48.2M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
322
Number of buys Q2 2024
151
Number of sells Q2 2024
-164
Average buys Q2 2024 %
+0.001%
Average sells Q2 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 25.6K $2.68M -$92.4K $104.82 5
2024 Q2 36.9M $3.55B +$48.2M $96.32 322
2024 Q1 36.5M $3.9B -$19.6M $106.81 335
2023 Q4 36.8M $3.55B +$48.1M $96.65 337
2023 Q3 36.3M $3.24B -$41M $89.23 315
2023 Q2 36.6M $3.76B -$55.4M $102.90 313
2023 Q1 36.9M $3.47B -$7.22M $94.10 296
2022 Q4 37.1M $2.96B +$1.86M $79.75 285
2022 Q3 37.2M $3.04B +$61.6M $81.71 269
2022 Q2 36.4M $2.66B +$51.8M $73.26 258
2022 Q1 35.9M $2.98B -$9.47M $83.04 272
2021 Q4 36M $3.4B -$247M $94.56 251
2021 Q3 36.6M $2.92B +$19.4M $79.85 245
2021 Q2 36.3M $2.93B +$11.3M $80.62 240
2021 Q1 36.1M $2.85B -$21.7M $78.94 230
2020 Q4 36.5M $2.52B +$24.7M $69.21 220
2020 Q3 36.2M $2.13B +$5.25M $58.83 205
2020 Q2 36.2M $1.9B +$15.7M $52.52 195
2020 Q1 35.9M $1.69B -$46M $47.13 198
2019 Q4 36.8M $2.11B +$31.8M $57.32 206
2019 Q3 36.2M $1.73B -$9.47M $47.81 191
2019 Q2 36.4M $1.73B +$14.7M $47.50 193
2019 Q1 36.3M $1.85B -$196K $51.09 210
2018 Q4 36.3M $1.56B -$35.2M $42.88 188
2018 Q3 37.1M $1.75B +$6.15M $47.25 178
2018 Q2 36.9M $1.67B +$39.2M $45.10 178
2018 Q1 36.1M $1.47B -$18.7M $40.75 177
2017 Q4 36.5M $1.67B +$4.36M $45.90 187
2017 Q3 36.3M $1.63B +$27.2M $44.85 172
2017 Q2 35.9M $1.48B +$6.91M $41.40 169
2017 Q1 36M $1.55B +$217M $43.05 177
2016 Q4 35.8M $1.39B -$32.8M $38.90 185
2016 Q3 36.6M $1.49B +$3.35M $40.71 170
2016 Q2 36.7M $1.21B -$13.9M $33.05 169
2016 Q1 37.4M $1.2B +$9.65M $32.17 174
2015 Q4 37.2M $1.01B -$61.8M $27.03 179
2015 Q3 39M $1.06B +$7.98M $27.23 151
2015 Q2 38.8M $1.25B -$30.8M $32.33 168
2015 Q1 39.6M $1.51B +$45.4M $38.14 155
2014 Q4 38.5M $1.44B +$62.6M $37.53 152
2014 Q3 36.9M $1.28B +$139K $34.74 155
2014 Q2 36.8M $1.48B +$17.7M $40.33 157
2014 Q1 36.6M $1.56B -$19.1M $42.52 156