Ryerson Holding Corp - COM (RYI)

Historical Portfolio Holders from Q3 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
31.5M
Holdings value Q2 2024
$615M
Value change Q2 2024
-$46.5M
Grand Portfolio weight change Q2 2024
0%
Number of holders
147
Number of buys Q2 2024
82
Number of sells Q2 2024
-94
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 Q3 5.42K $108K +$108K $19.94 1
2024 Q2 31.5M $615M -$46.5M $19.50 147
2024 Q1 32.2M $1.08B -$6.42M $33.50 182
2023 Q4 32.3M $1.12B -$6.19M $34.68 177
2023 Q3 32.6M $947M -$18.7M $29.09 172
2023 Q2 32.5M $1.41B -$32.4M $43.38 180
2023 Q1 33.2M $1.21B -$62.6M $36.38 181
2022 Q4 35M $1.06B +$16.7M $30.26 170
2022 Q3 34.5M $888M +$2.51M $25.74 152
2022 Q2 34.4M $733M -$33.1M $21.29 141
2022 Q1 35.8M $1.25B +$29.3M $35.02 153
2021 Q4 35M $912M -$8.68M $26.05 115
2021 Q3 35.2M $784M -$6.35M $22.27 98
2021 Q2 35.7M $522M -$2.14M $14.60 96
2021 Q1 35.8M $611M +$6.95M $17.04 94
2020 Q4 35.6M $485M +$9.35M $13.64 95
2020 Q3 34.5M $198M +$1.54M $5.73 94
2020 Q2 34.3M $193M -$3.69M $5.63 99
2020 Q1 35M $186M -$936K $5.32 108
2019 Q4 34.9M $412M +$5.56M $11.83 113
2019 Q3 13.4M $114M +$363K $8.53 100
2019 Q2 13.4M $111M +$143K $8.33 105
2019 Q1 13.6M $116M +$2.69M $8.56 91
2018 Q4 14M $88.7M -$955K $6.34 91
2018 Q3 13.8M $156M -$2.04M $11.30 91
2018 Q2 14M $156M +$996K $11.15 89
2018 Q1 14.3M $117M -$7.56M $8.15 85
2017 Q4 14.7M $153M +$3.2M $10.40 83
2017 Q3 14.4M $156M -$10.4M $10.85 90
2017 Q2 15.3M $151M +$1.21M $9.90 87
2017 Q1 15M $188M +$17.1M $12.60 94
2016 Q4 14.5M $194M +$2.31M $13.35 99
2016 Q3 14.6M $165M +$42.8M $11.29 102
2016 Q2 10.7M $187M +$35.3M $17.50 87
2016 Q1 10.4M $57.7M -$744K $5.56 61
2015 Q4 10.7M $49.9M -$575K $4.67 57
2015 Q3 10.8M $56.6M +$3.69M $5.25 53
2015 Q2 10M $91.4M -$1.34M $9.10 49
2015 Q1 10.5M $67.7M -$1.1M $6.37 43
2014 Q4 10.3M $102M +$5.2M $9.93 53
2014 Q3 9.55M $122M +$122M $12.80 42