Ingredion Inc - COM (INGR)

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
57.4M
Holdings value Q2 2024
$6.59B
Value change Q2 2024
+$215M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
546
Number of buys Q2 2024
160
Number of sells Q2 2024
-144
Average buys Q2 2024 %
+0.001%
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 12.8M $1.76B -$96.9M $137.43 294
2024 Q2 57.4M $6.59B +$215M $114.70 549
2024 Q1 55.7M $6.51B -$9.71M $116.85 541
2023 Q4 55.9M $6.07B +$50.6M $108.53 509
2023 Q3 55.4M $5.45B -$151M $98.40 472
2023 Q2 56.8M $6.02B -$76.5M $105.95 493
2023 Q1 57.3M $5.83B +$65.4M $101.73 469
2022 Q4 56.9M $5.58B -$348K $97.93 475
2022 Q3 57M $4.59B -$47.7M $80.52 434
2022 Q2 57.1M $5.03B +$52.8M $88.16 445
2022 Q1 57.3M $5B -$99.2M $87.15 441
2021 Q4 57.7M $5.58B +$15.8M $96.64 464
2021 Q3 57.4M $5.11B -$14.2M $89.01 436
2021 Q2 57.6M $5.21B -$50.4M $90.50 426
2021 Q1 58.2M $5.23B +$45.6M $89.92 446
2020 Q4 57.8M $4.55B -$10.1M $78.67 453
2020 Q3 57.9M $4.39B +$5.81M $75.68 440
2020 Q2 65.4M $5.42B +$649M $83.00 447
2020 Q1 57.6M $4.35B -$194M $75.50 425
2019 Q4 59.6M $5.54B +$126M $92.95 434
2019 Q3 58.3M $4.77B -$63.3M $81.74 435
2019 Q2 59.1M $4.87B -$20.8M $82.49 444
2019 Q1 59.5M $5.64B +$46.1M $94.69 468
2018 Q4 59.2M $5.41B -$162M $91.40 463
2018 Q3 60.9M $6.39B +$16.6M $104.96 475
2018 Q2 61.1M $6.76B -$191M $110.70 490
2018 Q1 62.5M $8.06B +$15.3M $128.92 506
2017 Q4 62.5M $8.74B +$161M $139.80 519
2017 Q3 61.3M $7.4B -$20.6M $120.64 456
2017 Q2 61.5M $7.33B +$65.1M $119.21 462
2017 Q1 61.5M $7.41B +$781M $120.43 475
2016 Q4 61.7M $7.71B -$123M $124.96 494
2016 Q3 62.2M $8.27B -$139M $133.06 475
2016 Q2 63.3M $8.19B +$122M $129.41 456
2016 Q1 62.5M $6.68B -$30.7M $106.79 427
2015 Q4 63.1M $6.05B -$91.2M $95.84 401
2015 Q3 64.1M $5.6B +$146M $87.31 356
2015 Q2 62.9M $5.02B +$18.2M $79.81 356
2015 Q1 62.7M $4.88B -$46.2M $77.82 350
2014 Q4 63.4M $5.38B -$47.7M $84.84 350
2014 Q3 63.9M $4.84B +$6.53M $75.79 343
2014 Q2 63.8M $4.78B -$101M $75.04 338
2014 Q1 64.7M $4.41B +$67.2M $68.08 319