Lumen Technologies, Inc. - COM (LUMN)

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
643M
Holdings value Q3 2024
$4.56B
Value change Q3 2024
+$49M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
481
Number of buys Q3 2024
237
Number of sells Q3 2024
-175
Average buys Q3 2024 %
+0.001%
Average sells Q3 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 643M $4.56B +$49M $7.10 487
2024 Q2 646M $709M -$25.8M $1.10 432
2024 Q1 666M $1.04B -$4.81M $1.56 464
2023 Q4 667M $1.22B +$10.9M $1.83 466
2023 Q3 663M $942M -$88.1M $1.42 481
2023 Q2 705M $1.59B -$70.8M $2.26 537
2023 Q1 725M $1.92B -$477M $2.65 619
2022 Q4 808M $4.22B -$80.8M $5.22 719
2022 Q3 820M $5.97B -$1.43M $7.28 708
2022 Q2 814M $8.88B +$214M $10.91 747
2022 Q1 797M $8.98B -$173M $11.27 715
2021 Q4 812M $10.2B -$113M $12.55 730
2021 Q3 814M $10.1B -$255M $12.39 660
2021 Q2 834M $11.3B +$263M $13.59 660
2021 Q1 816M $10.9B +$10.5B $13.35 627
2020 Q4 27.3M $266M +$241M $9.75 60
2020 Q3 76.4K $785K +$412K $10.09 4
2020 Q2 35.6K $372K +$158K $10.03 3
2020 Q1 19.9K $205K +$139K $9.46 4
2019 Q4 5.22K $70.7K +$14.6K $13.21 4
2019 Q3 4.11K $56K $0 $12.48 3
2019 Q2 4.11K $56K -$905 $11.77 3
2019 Q1 4.19K $56.9K -$299K $12.82 2
2018 Q4 20.5K $310K -$2.83K $15.15 2
2018 Q3 20.7K $438K -$5.24K $21.20 2
2018 Q2 20.9K $390K +$19.4K $18.64 2
2018 Q1 19.9K $327K +$275K $16.43 3
2017 Q4 3.14K $52.4K +$44.1K $16.68 2
2017 Q3 490 $9.26K -$1.13K $18.90 3
2017 Q2 550 $13.1K +$1.6K $23.88 3
2017 Q1 483 $11.4K -$5.94K $23.57 3
2016 Q4 735 $17.5K -$214 $23.78 3
2016 Q3 610 $16.7K +$13.7K $27.43 2
2016 Q2 110 $3.19K $0 $29.01 1
2016 Q1 110 $3.52K $0 $31.96 1