Shell plc - SPON ADS (SHEL)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / SPON ADS
Shares, excl. options Q2 2024
354M
Holdings value Q2 2024
$25.6B
Value change Q2 2024
+$1.35B
Grand Portfolio weight change Q2 2024
+0.003%
Number of holders
1346
Number of buys Q2 2024
590
Number of sells Q2 2024
-506
Average buys Q2 2024 %
+0.006%
Average sells Q2 2024 %
-0.006%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 746K $49.3M -$1.31M $65.95 28
2024 Q2 354M $25.6B +$1.35B $72.18 1,355
2024 Q1 335M $22.5B +$507M $67.04 1,315
2023 Q4 327M $21.5B +$199M $65.80 1,282
2023 Q3 324M $20.9B +$1.41B $64.38 1,240
2023 Q2 302M $18.2B +$518M $60.38 1,175
2023 Q1 292M $16.8B +$1.21B $57.54 1,162
2022 Q4 274M $15.6B -$415M $56.95 1,165
2022 Q3 279M $13.9B -$530M $49.76 1,081
2022 Q2 288M $15.1B +$1.15B $52.29 1,103
2022 Q1 273M $15B +$15B $54.93 963
2021 Q4 189K $8.31M +$7.15M $43.40 10
2021 Q3 3.87K $174K $0 $44.57 5
2021 Q2 3.77K $154K $0 $40.40 4
2021 Q1 3.77K $149K $0 $39.21 4
2020 Q4 3.77K $132K -$3.97K $35.14 4
2020 Q3 3.88K $96.6K -$1.36K $25.17 4
2020 Q2 4.05K $135K -$16.8K $32.69 5
2020 Q1 4.45K $156K -$224K $34.89 4
2019 Q4 8.23K $485K +$221K $58.98 5
2019 Q3 2.95K $174K $0 $58.85 3
2019 Q2 2.95K $192K $0 $65.07 3
2019 Q1 2.95K $185K -$4.51K $62.59 3
2018 Q4 3.03K $176K $0 $58.27 3
2018 Q3 3.03K $206K $0 $68.14 3
2018 Q2 3.03K $209K +$7.34K $69.23 3
2018 Q1 2.92K $186K +$12.8K $63.81 2
2017 Q4 2.72K $181K +$6K $66.71 2
2017 Q3 2.63K $159K $0 $60.58 2
2017 Q2 2.63K $140K $0 $53.19 2
2017 Q1 2.63K $139K $0 $52.73 2
2016 Q4 2.63K $143K -$10.9K $54.38 2
2016 Q3 2.83K $142K +$66.7K $50.07 2
2016 Q2 1.5K $82.7K -$22.1K $55.22 1
2016 Q1 1.9K $91.9K $0 $48.45 1