Royal Dutch Shell PLC ADS CL A - US EQUITIES (RDSA)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / US EQUITIES
Shares, excl. options Q3 2024
15.3K
Holdings value Q3 2024
$1.01M
Value change Q3 2024
-$669K
Grand Portfolio weight change Q3 2024
0%
Number of holders
3
Number of buys Q3 2024
0
Number of sells Q3 2024
-1
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 15.3K $1.01M -$669K $65.38 3
2024 Q2 25.4K $1.84M $0 $71.54 3
2024 Q1 25.4K $1.71M $0 $66.92 3
2023 Q4 24.1K $1.59M $0 $58.40 2
2023 Q3 25.4K $1.64M $0 $63.85 3
2023 Q2 25.4K $1.54M -$24.5K $60.00 3
2023 Q1 25.9K $1.49M -$134K $57.54 5
2022 Q4 28.2K $1.62M -$199K $56.95 6
2022 Q3 32.4K $1.61M +$211K $49.77 6
2022 Q2 26.2K $1.37M -$3.81M $52.10 4
2022 Q1 73.4K $3.47M -$6.39B $43.49 10
2021 Q4 148M $6.41B +$26.9M $43.40 760
2021 Q3 147M $6.54B -$36.1M $44.57 778
2021 Q2 148M $5.96B +$748M $40.40 760
2021 Q1 130M $5.08B +$271M $39.21 758
2020 Q4 123M $4.34B +$239M $35.14 736
2020 Q3 117M $2.94B -$887M $25.17 646
2020 Q2 149M $4.87B -$922M $32.69 756
2020 Q1 176M $6.14B -$753M $34.89 822
2019 Q4 190M $11.2B -$644M $58.98 1,052
2019 Q3 201M $11.8B -$853M $58.85 992
2019 Q2 215M $14B -$846M $65.07 1,030
2019 Q1 229M $14.3B -$147M $62.59 1,036
2018 Q4 232M $13.5B -$1.04B $58.27 995
2018 Q3 248M $16.9B -$278M $68.14 1,023
2018 Q2 252M $17.4B -$1.66B $69.23 1,007
2018 Q1 276M $17.6B -$2.65M $63.81 979
2017 Q4 277M $18.5B +$287M $66.71 980
2017 Q3 273M $16.5B +$592M $60.58 861
2017 Q2 262M $13.9B -$35.6M $53.19 814
2017 Q1 263M $13.9B +$245M $52.73 828
2016 Q4 272M $14.8B -$584M $54.38 836
2016 Q3 284M $14.2B -$1.13B $50.07 782
2016 Q2 306M $16.9B +$1.02B $55.22 794
2016 Q1 288M $14B +$787M $48.45 759
2015 Q4 273M $12.5B +$162M $45.79 752
2015 Q3 265M $12.6B +$132M $47.39 763
2015 Q2 270M $15.4B -$459M $57.01 811
2015 Q1 278M $16.6B +$449M $59.65 835
2014 Q4 270M $18B +$437M $66.95 861
2014 Q3 262M $19.9B +$151M $76.13 838
2014 Q2 260M $21.4B -$951M $82.37 846
2014 Q1 271M $19.8B +$686M $73.06 820