MAG SILVER CORP - COM (MAG)

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
44.2M
Holdings value Q2 2024
$516M
Value change Q2 2024
-$20.1M
Grand Portfolio weight change Q2 2024
0%
Number of holders
138
Number of buys Q2 2024
58
Number of sells Q2 2024
-51
Average buys Q2 2024 %
+0.002%
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 Q2 44.2M $516M -$20.1M $11.67 138
2024 Q1 43.5M $464M +$44.2M $10.58 137
2023 Q4 39.2M $408M -$1.96M $10.41 131
2023 Q3 39.7M $415M -$46.7M $10.37 118
2023 Q2 44M $490M +$78.6M $11.14 119
2023 Q1 36.9M $466M -$51.7M $12.67 130
2022 Q4 40.2M $628M -$13.3M $15.63 116
2022 Q3 41M $512M -$22.7M $12.48 120
2022 Q2 43.3M $530M +$12.7M $12.17 123
2022 Q1 42.2M $683M -$8.16M $16.17 129
2021 Q4 42.7M $670M +$6.52M $15.67 129
2021 Q3 41.9M $678M -$25.2M $16.20 119
2021 Q2 43.5M $908M +$104M $20.92 120
2021 Q1 38.6M $581M -$11.9M $15.01 122
2020 Q4 38.6M $794M -$16.4M $20.52 115
2020 Q3 39.5M $640M +$62.8M $16.26 103
2020 Q2 37.5M $531M -$21.4M $14.10 99
2020 Q1 39M $301M -$25.9M $7.68 86
2019 Q4 40.9M $482M +$29M $11.84 89
2019 Q3 39.2M $418M -$754K $10.61 87
2019 Q2 39.3M $416M -$24.5M $10.54 72
2019 Q1 40M $429M +$1.94M $10.66 74
2018 Q4 37.9M $278M -$17.5M $7.30 81
2018 Q3 40.5M $327M +$21.8M $8.10 80
2018 Q2 38.6M $417M -$7.26M $10.81 86
2018 Q1 39M $382M -$12M $9.76 84
2017 Q4 40M $494M +$78.2M $12.36 87
2017 Q3 33.8M $379M -$15.7M $11.22 87
2017 Q2 34.5M $449M -$10.3M $13.04 89
2017 Q1 35.3M $462M +$647K $13.12 82
2016 Q4 35.8M $394M -$23.7M $11.02 76
2016 Q3 37.4M $561M +$22.1M $15.07 69
2016 Q2 36M $454M +$18.4M $12.61 71
2016 Q1 33.5M $316M +$56.1M $9.44 63
2015 Q4 28.6M $202M -$5.81M $7.06 65
2015 Q3 29.5M $210M +$1.17M $7.12 54
2015 Q2 29.3M $230M -$10.1M $7.84 60
2015 Q1 29.8M $184M -$25.1K $6.18 58
2014 Q4 29.9M $245M -$22.4M $8.19 67
2014 Q3 33M $245M +$10.4M $7.44 64
2014 Q2 31.4M $297M +$119M $9.46 68
2014 Q1 18.4M $127M -$16M $6.93 52