PLDT Inc. - SPONSORED ADR (PHI)

Historical Portfolio Holders from Q3 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / SPONSORED ADR
Shares, excl. options Q3 2024
6.53M
Holdings value Q3 2024
$175M
Value change Q3 2024
-$1.3M
Grand Portfolio weight change Q3 2024
0%
Number of holders
75
Number of buys Q3 2024
40
Number of sells Q3 2024
-22
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 6.53M $175M -$1.3M $26.88 75
2024 Q2 6.55M $161M -$2.77M $24.56 74
2024 Q1 6.66M $164M +$41.9M $24.66 73
2023 Q4 4.88M $114M +$12.8M $23.43 67
2023 Q3 4.31M $89.1M -$11.2M $20.66 53
2023 Q2 4.93M $115M -$707K $23.37 60
2023 Q1 4.92M $124M -$18.2M $25.25 66
2022 Q4 5.71M $130M +$2.07M $22.80 73
2022 Q3 5.6M $142M -$14.4M $25.30 65
2022 Q2 6.11M $186M +$14.9M $30.42 82
2022 Q1 6.11M $215M +$3.49M $35.14 78
2021 Q4 5.99M $214M -$15.2M $35.72 71
2021 Q3 6.42M $209M -$31.2M $32.57 69
2021 Q2 7.4M $194M +$9.5M $26.28 72
2021 Q1 6.91M $181M +$25.7M $26.16 66
2020 Q4 6.56M $183M -$11.3M $27.91 64
2020 Q3 6.97M $189M -$35M $27.05 66
2020 Q2 8.29M $202M +$24.3M $24.41 63
2020 Q1 7.31M $150M -$28.8M $20.56 62
2019 Q4 8.74M $175M -$161M $19.99 69
2019 Q3 17M $373M -$27.3M $22.00 67
2019 Q2 18.2M $451M +$20.6M $24.82 74
2019 Q1 17.3M $376M +$59M $21.67 63
2018 Q4 14.6M $313M -$6.93M $21.38 59
2018 Q3 14.9M $384M -$4.46M $25.70 57
2018 Q2 15.3M $357M -$105M $23.38 59
2018 Q1 19.7M $556M -$12.4M $28.37 61
2017 Q4 20.2M $606M -$8.2M $30.08 71
2017 Q3 20.4M $652M -$28M $31.92 61
2017 Q2 21.3M $752M -$45.4M $35.31 61
2017 Q1 22.6M $726M +$1.19M $32.16 60
2016 Q4 22.6M $622M +$33.7M $27.55 64
2016 Q3 21.4M $762M +$762M $35.67 61