HECLA MINING CO/DE/ - COM (HL)

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
409M
Holdings value Q3 2024
$2.75B
Value change Q3 2024
+$103M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
346
Number of buys Q3 2024
198
Number of sells Q3 2024
-105
Average buys Q3 2024 %
+0.001%
Average sells Q3 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 409M $2.75B +$103M $6.67 347
2024 Q2 395M $1.92B +$144M $4.85 313
2024 Q1 355M $1.71B +$30.6M $4.81 288
2023 Q4 359M $1.72B +$43.8M $4.81 276
2023 Q3 347M $1.36B -$49.6M $3.91 279
2023 Q2 360M $1.86B -$1.84M $5.15 292
2023 Q1 367M $2.32B +$133M $6.33 292
2022 Q4 347M $1.93B +$94.9M $5.56 277
2022 Q3 331M $1.31B +$4.53M $3.94 254
2022 Q2 328M $1.29B -$21.8M $3.92 260
2022 Q1 330M $2.17B +$72.7M $6.57 263
2021 Q4 320M $1.67B -$5.3M $5.22 247
2021 Q3 321M $1.76B -$41.5M $5.50 241
2021 Q2 326M $2.43B +$65.6M $7.44 257
2021 Q1 318M $1.81B +$34.3M $5.69 245
2020 Q4 312M $2.03B +$60.3M $6.48 240
2020 Q3 308M $1.57B +$133M $5.08 235
2020 Q2 286M $936M -$63.4M $3.27 199
2020 Q1 310M $564M -$30.3M $1.82 179
2019 Q4 317M $1.08B +$115M $3.39 191
2019 Q3 284M $501M -$5.77M $1.76 166
2019 Q2 287M $517M -$10.7M $1.80 165
2019 Q1 292M $672M -$4.39M $2.30 194
2018 Q4 294M $693M -$8.24M $2.36 188
2018 Q3 288M $804M +$118M $2.79 192
2018 Q2 249M $866M +$5.32M $3.48 191
2018 Q1 249M $913M +$30.4M $3.67 183
2017 Q4 240M $952M -$30.7M $3.97 180
2017 Q3 242M $1.22B +$9.31M $5.02 180
2017 Q2 240M $1.22B -$21.9M $5.10 185
2017 Q1 228M $1.21B +$157M $5.29 192
2016 Q4 223M $1.17B -$39.3M $5.24 202
2016 Q3 214M $1.22B -$86.2M $5.70 205
2016 Q2 230M $1.17B +$188M $5.10 181
2016 Q1 195M $543M +$22.2M $2.78 164
2015 Q4 185M $350M -$4.27M $1.89 155
2015 Q3 189M $372M +$5.06M $1.97 155
2015 Q2 187M $493M -$18.4M $2.63 171
2015 Q1 191M $571M +$15.3M $2.98 155
2014 Q4 189M $528M +$87.2M $2.79 171
2014 Q3 158M $392M -$17.5M $2.48 170
2014 Q2 163M $561M -$41.7M $3.45 186
2014 Q1 163M $501M +$38M $3.07 178