Lamb Weston Holdings, Inc. - COM (LW)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
129M
Holdings value Q3 2024
$8.33B
Value change Q3 2024
-$1.17B
Grand Portfolio weight change Q3 2024
-0.002%
Number of holders
667
Number of buys Q3 2024
309
Number of sells Q3 2024
-386
Average buys Q3 2024 %
+0.007%
Average sells Q3 2024 %
-0.013%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 129M $8.33B -$1.17B $64.74 676
2024 Q2 140M $11.7B +$787M $84.08 743
2024 Q1 127M $13.5B -$52.9M $106.53 761
2023 Q4 129M $13.9B +$263M $108.09 755
2023 Q3 127M $11.7B +$33.1M $92.46 735
2023 Q2 126M $14.4B -$130M $114.95 763
2023 Q1 126M $13.2B -$52.8M $104.52 724
2022 Q4 128M $11.4B -$166M $89.36 674
2022 Q3 130M $10B +$99.9M $77.38 573
2022 Q2 128M $9.14B +$291M $71.46 539
2022 Q1 126M $7.47B +$42.7M $59.91 508
2021 Q4 125M $7.82B +$15.1M $63.38 525
2021 Q3 124M $7.53B -$193M $61.37 541
2021 Q2 125M $9.97B -$49.2M $80.66 592
2021 Q1 125M $9.63B -$8.76M $77.48 603
2020 Q4 126M $9.8B -$180M $78.74 583
2020 Q3 128M $8.44B -$240M $66.27 562
2020 Q2 131M $8.37B +$345M $63.93 559
2020 Q1 126M $7.19B -$8.32M $57.10 582
2019 Q4 124M $10.6B -$400M $86.03 627
2019 Q3 130M $9.44B +$100M $72.72 593
2019 Q2 129M $8.14B +$42.7M $63.36 582
2019 Q1 129M $9.62B +$553M $74.94 632
2018 Q4 121M $8.9B +$327M $73.56 600
2018 Q3 118M $7.82B -$56.5M $66.60 531
2018 Q2 118M $8.08B -$24.1M $68.51 534
2018 Q1 120M $6.97B +$107M $58.22 517
2017 Q4 118M $6.67B -$11.4M $56.45 498
2017 Q3 117M $5.51B -$12.9M $46.89 445
2017 Q2 118M $5.19B +$192M $44.04 455
2017 Q1 115M $4.84B +$569M $42.06 442
2016 Q4 113M $4.29B +$4.17B $37.85 438
2016 Q3 15.2K $714K $0 $46.91 1
2016 Q2 0 $0 -$422K 0
2016 Q1 5.65K $422K $0 $74.66 1