GLOBE LIFE INC. - COM (GL)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
74M
Holdings value Q2 2024
$6.08B
Value change Q2 2024
-$577M
Grand Portfolio weight change Q2 2024
-0.001%
Number of holders
490
Number of buys Q2 2024
84
Number of sells Q2 2024
-73
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 2.85M $302M -$8.33M $105.91 186
2024 Q2 74M $6.08B -$578M $82.28 492
2024 Q1 77.5M $9B +$187M $116.37 579
2023 Q4 76M $9.24B +$104M $121.72 576
2023 Q3 75.2M $8.17B -$195M $108.73 531
2023 Q2 76.9M $8.41B -$216M $109.62 529
2023 Q1 78.7M $8.65B -$236M $110.02 509
2022 Q4 80.8M $9.74B +$167M $120.55 516
2022 Q3 79.8M $7.96B -$22.2M $99.70 467
2022 Q2 79.8M $7.78B +$33.2M $97.47 447
2022 Q1 80.3M $8.06B +$522M $100.60 469
2021 Q4 75.2M $7.03B -$60.6M $93.72 449
2021 Q3 75.9M $6.73B -$58.7M $89.03 447
2021 Q2 76.4M $7.26B -$94.6M $95.25 454
2021 Q1 77.4M $7.46B +$25.6M $96.63 465
2020 Q4 77M $7.28B -$46.9M $94.96 476
2020 Q3 78M $6.21B -$185M $79.90 450
2020 Q2 80.3M $5.94B +$22.6M $74.23 450
2020 Q1 80M $5.75B -$65.2M $71.97 426
2019 Q4 80.5M $8.45B -$125M $105.25 463
2019 Q3 81.8M $7.82B +$7.81B $95.76 441
2019 Q2 68.2K $6.1M +$5.91M $89.46 7
2019 Q1 2.08K $176K +$1.31K $81.95 4
2018 Q4 1.6K $119K +$1K $74.53 3
2018 Q3 1.58K $137K $0 $86.69 2
2018 Q2 1.58K $129K $0 $81.41 2
2018 Q1 1.58K $133K $0 $84.17 2
2017 Q4 1.58K $143K $0 $90.71 2
2017 Q3 1.58K $126K -$1.44K $80.09 2
2017 Q2 1.6K $122K $0 $76.50 2
2017 Q1 1.6K $123K $0 $77.04 2
2016 Q4 1.6K $118K $0 $73.76 2
2016 Q3 1.47K $93.9K $0 $63.89 1
2016 Q2 1.47K $90.9K $0 $61.82 1
2016 Q1 1.47K $79.6K $0 $54.16 1