HUBBELL INC - COM (HUBB)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
910
Holdings value Q2 2024
$333K
Value change Q2 2024
$0
Grand Portfolio weight change Q2 2024
0%
Number of holders
1
Number of buys Q2 2024
0
Number of sells Q2 2024
0
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 910 $333K $0 $365.93 1
2024 Q1 1.02K $424K $0 $415.05 3
2023 Q4 1.02K $335K $0 $328.75 2
2023 Q3 1.02K $319K -$32.9K $313.30 2
2023 Q2 1.13K $373K $0 $331.71 2
2023 Q1 1.13K $273K $0 $243.08 2
2022 Q4 1.13K $264K -$296K $234.92 2
2022 Q3 2.45K $547K +$203K $223.08 3
2022 Q2 1.54K $275K $0 $177.54 2
2022 Q1 1.54K $284K -$285K $184.82 2
2021 Q4 2.89K $602K -$827K $208.38 2
2021 Q3 7.39K $1.34M -$20K $180.59 3
2021 Q2 7.5K $1.4M +$385K $186.68 4
2021 Q1 5.44K $1.02M $0 $186.61 3
2020 Q4 5.44K $852K +$208K $156.75 3
2020 Q3 4.11K $562K $0 $137.82 2
2020 Q2 4.11K $515K $0 $127.44 2
2020 Q1 4.11K $471K -$336K $112.93 2
2019 Q4 6.38K $943K $0 $147.75 3
2019 Q3 6.38K $839K $0 $131.43 3
2019 Q2 6.38K $833K +$297K $130.50 3
2019 Q1 4.11K $485K -$2.59M $119.19 2
2018 Q4 32.4K $3.22M -$1.63M $99.33 4
2018 Q3 45K $6.01M +$1.46M $133.50 5
2018 Q2 34.1K $3.6M +$5.81K $105.63 4
2018 Q1 34K $4.14M -$326K $121.76 4
2017 Q4 38.9K $5.27M -$83.1K $135.37 6
2017 Q3 39.6K $4.59M +$980 $116.00 7
2017 Q2 39.5K $4.48M -$8.43M $113.23 6
2017 Q1 128K $15.4M +$6.62M $120.05 9
2016 Q4 73.2K $8.53M -$7.51M $116.75 8
2016 Q3 143K $15.4M -$3.12M $107.74 9
2016 Q2 172K $18.2M -$1.39M $105.47 11
2016 Q1 186K $19.7M -$125M $105.94 13
2015 Q4 1.4M $141M -$3.55B $101.00 15
2015 Q3 43.3M $3.68B +$141M $84.95 296
2015 Q2 42.4M $4.59B -$16.8M $108.28 285
2015 Q1 42.6M $4.67B -$170M $109.62 300
2014 Q4 44.2M $4.72B +$31.3M $106.83 283
2014 Q3 44.3M $5.34B +$42.6M $120.53 302
2014 Q2 43.9M $5.41B -$37.3M $123.15 303
2014 Q1 44.2M $5.3B +$18.9M $119.87 298