PG&E Corp - COM (PCG)

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
1.99B
Holdings value Q2 2024
$34.8B
Value change Q2 2024
+$228M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
646
Number of buys Q2 2024
334
Number of sells Q2 2024
-266
Average buys Q2 2024 %
+0.002%
Average sells Q2 2024 %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 772K $15.2M +$808K $19.77 7
2024 Q2 1.99B $34.8B +$228M $17.46 652
2024 Q1 1.98B $33.2B -$1.01B $16.76 651
2023 Q4 2.04B $36.8B +$1.24B $18.03 632
2023 Q3 1.97B $31.8B +$1.78B $16.13 589
2023 Q2 1.86B $32.1B +$957M $17.28 561
2023 Q1 1.8B $29.1B +$377M $16.17 536
2022 Q4 1.78B $29B +$377M $16.26 514
2022 Q3 1.76B $22B +$2.21B $12.50 426
2022 Q2 1.59B $15.8B +$767M $9.98 429
2022 Q1 1.51B $18B +$468M $11.94 416
2021 Q4 1.47B $17.8B -$205M $12.14 417
2021 Q3 1.49B $14.3B +$338M $9.60 384
2021 Q2 1.46B $14.8B +$409M $10.17 402
2021 Q1 1.41B $16.5B +$303M $11.71 422
2020 Q4 1.39B $17.3B -$232M $12.46 418
2020 Q3 1.41B $13.3B +$3.24B $9.39 369
2020 Q2 1.07B $9.53B +$5.73B $8.87 363
2020 Q1 429M $3.86B -$154M $8.99 272
2019 Q4 437M $4.75B -$440M $10.87 278
2019 Q3 480M $4.8B -$390M $10.00 306
2019 Q2 481M $11B +$258M $22.92 331
2019 Q1 471M $8.38B +$186M $17.80 325
2018 Q4 440M $10.4B -$469M $23.75 491
2018 Q3 433M $19.9B +$338M $46.01 614
2018 Q2 426M $18.1B +$254M $42.56 610
2018 Q1 420M $18.4B +$78.6M $43.93 614
2017 Q4 418M $18.7B -$479M $44.83 619
2017 Q3 418M $28.5B -$70M $68.09 591
2017 Q2 419M $27.8B -$83.2M $66.37 603
2017 Q1 422M $28B +$2.53B $66.36 576
2016 Q4 416M $25.2B +$130M $60.77 571
2016 Q3 413M $25.3B +$664M $61.17 568
2016 Q2 402M $25.7B +$103M $63.92 579
2016 Q1 401M $23.9B +$185M $59.72 552
2015 Q4 398M $21.2B -$5.15M $53.19 522
2015 Q3 400M $21.1B +$765M $52.80 493
2015 Q2 386M $18.9B +$87.8M $49.10 497
2015 Q1 385M $20.5B +$17.2M $53.07 518
2014 Q4 384M $20.4B -$285M $53.24 506
2014 Q3 389M $17.5B +$109M $45.04 448
2014 Q2 386M $18.5B +$886M $48.02 438
2014 Q1 368M $15.9B +$464M $43.20 442