IAMGOLD CORP - COM (IAG)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
291M
Holdings value Q2 2024
$1.09B
Value change Q2 2024
+$167M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
146
Number of buys Q2 2024
92
Number of sells Q2 2024
-34
Average buys Q2 2024 %
+0.003%
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 110K $578K +$443K $5.23 1
2024 Q2 291M $1.09B +$167M $3.75 147
2024 Q1 244M $813M +$52M $3.33 122
2023 Q4 232M $587M +$651K $2.53 136
2023 Q3 235M $508M -$17M $2.15 137
2023 Q2 242M $638M +$743K $2.63 147
2023 Q1 241M $656M +$32.1M $2.71 134
2022 Q4 230M $593M -$18.5M $2.58 129
2022 Q3 237M $255M -$12.9M $1.07 114
2022 Q2 249M $401M +$25.7M $1.61 121
2022 Q1 221M $769M +$48.6M $3.48 130
2021 Q4 208M $649M +$37.3M $3.13 131
2021 Q3 196M $444M -$54M $2.26 133
2021 Q2 214M $630M -$22.4M $2.95 132
2021 Q1 225M $671M -$58.6M $2.98 139
2020 Q4 241M $885M -$9.07M $3.67 137
2020 Q3 243M $937M -$36.4M $3.83 131
2020 Q2 253M $1.01B -$8.65M $3.95 132
2020 Q1 262M $601M -$56.1M $2.28 127
2019 Q4 275M $1.03B -$7.47M $3.73 145
2019 Q3 277M $944M +$35.1M $3.41 137
2019 Q2 267M $903M +$9.12M $3.38 143
2019 Q1 264M $915M -$45.1M $3.47 150
2018 Q4 276M $1.01B +$39.5M $3.68 140
2018 Q3 265M $975M +$3.26M $3.68 151
2018 Q2 257M $1.5B -$32.5M $5.81 173
2018 Q1 263M $1.37B -$36.3M $5.19 162
2017 Q4 270M $1.58B +$1.7M $5.83 171
2017 Q3 267M $1.63B +$20.5M $6.10 156
2017 Q2 265M $1.37B -$30.7M $5.16 133
2017 Q1 270M $1.08B +$58.5M $4.00 140
2016 Q4 256M $985M +$64M $3.85 134
2016 Q3 239M $965M +$102M $4.05 142
2016 Q2 217M $903M +$47.3M $4.14 136
2016 Q1 207M $459M +$18.8M $2.21 126
2015 Q4 200M $285M -$5.96M $1.42 116
2015 Q3 204M $333M +$18.9M $1.63 115
2015 Q2 199M $400M +$36.4M $2.00 132
2015 Q1 173M $325M +$16.9M $1.87 122
2014 Q4 168M $456M +$103M $2.70 144
2014 Q3 130M $359M -$28.4M $2.76 146
2014 Q2 140M $577M +$3.9M $4.12 144
2014 Q1 139M $491M -$11M $3.52 145