Kraft Heinz Company - COM (KRFT)

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
36.8K
Holdings value Q2 2024
$1.19M
Value change Q2 2024
+$103K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
2
Number of buys Q2 2024
1
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 36.8K $1.19M +$103K $32.23 2
2024 Q1 33.6K $1.24M $0 $36.42 2
2023 Q4 33.6K $1.24M -$89.7K $36.42 2
2023 Q3 36K $1.21M +$94K $32.95 2
2023 Q2 33.2K $1.18M +$152K $35.67 2
2023 Q1 29K $1.12M +$169K $39.05 2
2022 Q4 24.6K $1M +$86.9K $40.07 2
2022 Q3 22.5K $749K +$85.8K $32.81 2
2022 Q2 19.9K $759K -$236K $38.79 2
2022 Q1 279 $11K $0 $39.43 1
2021 Q4 26.1K $936K -$36.9K $35.87 2
2021 Q3 27.1K $997K -$5.37K $36.32 2
2021 Q2 27.2K $1.11M -$5.26K $40.11 2
2021 Q1 27.4K $1.1M +$247K $39.72 2
2020 Q4 21.2K $735K +$249K $35.25 2
2020 Q3 14K $419K +$7.49K $29.31 2
2020 Q2 13.8K $439K +$70.2K $32.09 2
2020 Q1 11.6K $286K -$172K $24.92 2
2019 Q4 18.5K $14.9K $0 $16.29 2
2019 Q3 17.6K $492K +$13.7K $28.32 2
2019 Q2 17.1K $530K +$42.7K $31.02 3
2019 Q1 15.7K $513K -$1.32M $32.65 3
2018 Q4 47.6K $2.05M -$201K $43.06 4
2018 Q3 52.3K $2.88M -$12.9K $55.10 4
2018 Q2 52.6K $3.31M +$501K $63.24 4
2018 Q1 44.6K $2.78M -$4.38M $61.73 4
2017 Q4 115K $8.94M -$279K $77.79 5
2017 Q3 119K $9.21M -$282K $77.33 6
2017 Q2 122K $10.5M -$450K $85.55 5
2017 Q1 127K $11.6M +$262K $90.70 5
2016 Q4 125K $10.9M -$166K $87.33 5
2016 Q3 126K $11.3M -$9.95M $89.52 6
2016 Q2 239K $21.1M -$8.21M $88.48 8
2016 Q1 333K $26.7M +$1.49M $78.58 13
2015 Q4 288K $21.2M -$13.1M $72.78 12
2015 Q3 455K $31.6M -$36.9B $70.58 20
2015 Q2 438M $37.3B +$551M $85.14 1,004
2015 Q1 431M $37.5B +$2.54B $87.12 1,083
2014 Q4 404M $25.3B +$19.2M $62.66 1,029
2014 Q3 402M $22.7B -$420M $56.40 967
2014 Q2 390M $23.4B -$249M $59.95 967
2014 Q1 406M $22.8B +$654M $56.10 950