DUTCH SHELL PLC - SPON ADR B (RDSB)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / SPON ADR B
Shares, excl. options Q2 2024
24K
Holdings value Q2 2024
$1.73M
Value change Q2 2024
$0
Grand Portfolio weight change Q2 2024
0%
Number of holders
3
Number of buys Q2 2024
0
Number of sells Q2 2024
0
Average buys Q2 2024 %
0
Average sells Q2 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 Q2 24K $1.73M $0 $72.18 3
2024 Q1 24K $1.61M +$134 $67.04 3
2023 Q4 24K $1.58M -$4.15K $65.80 3
2023 Q3 24K $1.55M +$4.06K $64.38 3
2023 Q2 24K $1.45M -$77.4K $60.38 3
2023 Q1 25.4K $1.45M -$23.6K $54.27 4
2022 Q4 25.4K $1.45M +$320K $56.95 3
2022 Q3 19.8K $983K +$67.5K $49.77 1
2022 Q2 18.4K $961K -$448K $51.68 2
2022 Q1 29K $1.42M -$5.8B $51.06 5
2021 Q4 134M $5.82B +$147M $43.35 548
2021 Q3 130M $5.76B -$717M $44.27 519
2021 Q2 147M $5.69B +$59.7M $38.83 523
2021 Q1 146M $5.38B +$209M $36.83 519
2020 Q4 140M $4.69B +$190M $33.61 523
2020 Q3 134M $3.25B -$107M $24.22 468
2020 Q2 138M $4.2B -$486M $30.45 549
2020 Q1 153M $5.01B -$2.23B $32.66 585
2019 Q4 215M $12.9B +$363M $59.97 689
2019 Q3 209M $12.6B -$661M $59.90 647
2019 Q2 220M $14.5B -$292M $65.74 654
2019 Q1 225M $14.4B -$208M $63.95 668
2018 Q4 229M $13.7B -$403M $59.94 664
2018 Q3 234M $16.6B +$490M $70.93 644
2018 Q2 228M $16.5B +$489M $72.65 636
2018 Q1 221M $14.5B +$221M $65.53 625
2017 Q4 218M $14.9B +$468M $68.29 598
2017 Q3 211M $13.2B +$443M $62.54 524
2017 Q2 204M $11.1B -$233M $54.43 503
2017 Q1 208M $11.6B +$648M $55.83 497
2016 Q4 197M $11.4B +$259M $57.97 498
2016 Q3 193M $10.2B +$2.23B $52.83 451
2016 Q2 151M $8.45B +$958M $56.00 440
2016 Q1 133M $6.55B +$969M $49.19 404
2015 Q4 116M $5.33B +$77.6M $46.04 403
2015 Q3 113M $5.37B -$117M $47.48 403
2015 Q2 118M $6.79B -$117M $57.35 398
2015 Q1 120M $7.55B +$366M $62.70 418
2014 Q4 115M $7.98B -$94.6M $69.56 407
2014 Q3 116M $9.15B +$104M $79.12 405
2014 Q2 114M $9.95B +$46.8M $87.01 401
2014 Q1 114M $8.89B -$509M $78.11 397