Grupo Aval Acciones Y Valores S.A. - SPONSORED ADS (AVAL)

Historical Portfolio Holders from Q3 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / SPONSORED ADS
Shares, excl. options Q2 2024
2.02M
Holdings value Q2 2024
$4.39M
Value change Q2 2024
+$26.1K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
33
Number of buys Q2 2024
11
Number of sells Q2 2024
-22
Average buys Q2 2024 %
+0%
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 Q2 2.02M $4.39M +$26.1K $2.18 33
2024 Q1 1.93M $4.45M -$1.32M $2.31 34
2023 Q4 2.5M $6.07M -$364K $2.43 35
2023 Q3 2.65M $6.4M -$455K $2.42 35
2023 Q2 2.77M $6.43M -$429K $2.32 35
2023 Q1 2.95M $6.91M -$60.7K $2.34 37
2022 Q4 3M $7.58M +$410K $2.53 35
2022 Q3 2.82M $6.95M -$2.94M $2.46 29
2022 Q2 3.68M $13M -$1.81M $3.55 34
2022 Q1 4.03M $18.3M -$4.99M $4.55 37
2021 Q4 5.01M $25.6M -$14.8M $5.11 44
2021 Q3 7.85M $45.4M -$156M $5.78 49
2021 Q2 35.3M $201M -$13.2M $5.70 34
2021 Q1 37.4M $233M +$5.86M $6.22 39
2020 Q4 37M $254M -$21.9M $6.88 41
2020 Q3 41.3M $191M -$14.3M $4.61 48
2020 Q2 44.5M $194M -$52.7M $4.36 60
2020 Q1 56.6M $248M -$35.6M $4.38 58
2019 Q4 61.9M $540M -$25.8M $8.72 72
2019 Q3 65M $485M -$4.94M $7.46 69
2019 Q2 65.6M $523M +$253M $7.97 74
2019 Q1 64.5M $503M -$10.5M $7.79 72
2018 Q4 67.4M $398M +$8.76M $5.90 71
2018 Q3 66.5M $516M -$67M $7.76 59
2018 Q2 75.7M $627M +$1.66M $8.29 49
2018 Q1 75.4M $627M -$1.77M $8.31 44
2017 Q4 75.7M $643M -$11.2M $8.50 49
2017 Q3 76.5M $686M -$1.3M $8.97 52
2017 Q2 76.7M $638M +$2.97M $8.28 49
2017 Q1 76.3M $627M +$1.55M $8.17 51
2016 Q4 76.5M $611M +$1.67M $7.94 49
2016 Q3 76.5M $672M +$11.3M $8.83 49
2016 Q2 75.2M $608M -$11.5M $8.05 47
2016 Q1 76.6M $599M -$5.89M $7.73 40
2015 Q4 77.4M $507M -$6.56M $6.52 44
2015 Q3 78.1M $601M +$3.35M $7.66 39
2015 Q2 77.2M $749M +$92.9M $9.79 44
2015 Q1 66.8M $603M -$48.6M $8.97 48
2014 Q4 70.7M $736M -$5.09M $10.39 48
2014 Q3 70.3M $956M +$952M $13.55 52