Hudbay Minerals Inc. - COM (HBM)

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
211M
Holdings value Q2 2024
$1.91B
Value change Q2 2024
+$525M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
205
Number of buys Q2 2024
134
Number of sells Q2 2024
-68
Average buys Q2 2024 %
+0.007%
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 Q2 211M $1.91B +$525M $9.05 209
2024 Q1 183M $1.28B +$66.5M $7.00 167
2023 Q4 185M $1.02B +$54.1M $5.52 172
2023 Q3 175M $853M -$46M $4.87 161
2023 Q2 184M $885M +$100M $4.80 162
2023 Q1 164M $861M -$14.1M $5.25 157
2022 Q4 167M $846M +$62M $5.07 142
2022 Q3 154M $622M -$5.5M $4.03 108
2022 Q2 154M $626M -$1.06M $4.08 133
2022 Q1 167M $1.32B +$23.6M $7.85 129
2021 Q4 151M $1.1B +$6M $7.25 117
2021 Q3 152M $944M -$55.1M $6.23 117
2021 Q2 161M $1.07B -$90.8M $6.66 104
2021 Q1 174M $1.19B -$4.57M $6.86 104
2020 Q4 175M $1.22B -$10.5M $7.00 103
2020 Q3 177M $748M +$41.8M $4.23 93
2020 Q2 168M $508M -$43.1M $3.03 85
2020 Q1 183M $344M +$14.1M $1.89 83
2019 Q4 171M $707M +$9.24M $4.15 88
2019 Q3 169M $610M -$15.1M $3.61 102
2019 Q2 168M $912M -$53.5M $5.41 108
2019 Q1 176M $1.26B +$43.1M $7.14 115
2018 Q4 173M $816M +$1.26M $4.73 115
2018 Q3 141M $715M -$76M $5.05 119
2018 Q2 157M $874M -$83.5M $5.59 125
2018 Q1 172M $1.21B -$52.8M $7.09 124
2017 Q4 177M $1.57B +$175M $8.83 123
2017 Q3 174M $1.31B +$94.1M $7.42 117
2017 Q2 160M $953M -$26.8M $5.77 113
2017 Q1 145M $948M +$159M $6.55 110
2016 Q4 121M $692M +$128M $5.71 94
2016 Q3 98.8M $391M -$130M $3.96 80
2016 Q2 153M $729M -$11.4M $4.78 86
2016 Q1 155M $570M -$11.4M $3.68 76
2015 Q4 160M $615M +$35M $3.82 69
2015 Q3 144M $532M +$5.15M $3.68 73
2015 Q2 157M $1.33B +$45.7M $8.33 87
2015 Q1 151M $1.24B +$30.2M $8.18 79
2014 Q4 148M $1.29B -$19.6M $8.71 72
2014 Q3 152M $1.3B +$131M $8.56 76
2014 Q2 115M $1.06B -$247M $9.27 66
2014 Q1 145M $1.14B +$174M $7.81 59