SKF AB SPON ADR - COM (SKFRY)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
290K
Holdings value Q2 2024
$5.84M
Value change Q2 2024
+$966K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
5
Number of buys Q2 2024
2
Number of sells Q2 2024
-3
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 290K $5.84M +$966K $20.13 5
2024 Q1 242K $5.03M +$57.6K $20.86 4
2023 Q4 239K $4.79M +$740K $20.01 6
2023 Q3 202K $3.37M +$467K $16.65 6
2023 Q2 174K $3.03M +$221K $17.40 5
2023 Q1 162K $3.46M +$964K $19.78 4
2022 Q4 126K $1.92M +$620K $16.72 2
2022 Q3 85.5K $1.14M +$293K $8.34 2
2022 Q2 64.4K $946K +$339K $14.78 3
2022 Q1 41.9K $688K +$652K $17.44 5
2021 Q4 1.3K $31K +$3.27K $24.24 3
2021 Q3 1.16K $28K -$2.19K $24.24 3
2021 Q2 1.25K $32K -$19.6M $25.84 3
2021 Q1 690K $19.7M +$768K $28.49 4
2020 Q4 663K $17M -$32.5K $25.66 4
2020 Q3 664K $13.7M +$547K $20.72 2
2020 Q2 638K $11.9M -$1.5M $18.61 2
2020 Q1 718K $9.75M -$3.13M $15.15 5
2019 Q4 888K $17.9M -$7.06M $20.17 7
2019 Q3 1.27M $21M +$86.5K $16.59 7
2019 Q2 1.26M $23.2M +$4.56M $18.40 8
2019 Q1 1.02M $16.9M -$6.28M $16.63 7
2018 Q4 1.4M $21.2M +$5.58M $15.16 6
2018 Q3 1.02M $20.1M +$4.07M $19.72 9
2018 Q2 786K $14.6M -$17.8M $18.61 7
2018 Q1 1.7M $35.2M -$6.69M $20.41 10
2017 Q4 2.03M $45.2M +$3.47M $22.24 9
2017 Q3 1.88M $40.8M +$4.79M $21.75 8
2017 Q2 1.66M $33.5M -$2.55M $20.23 8
2017 Q1 1.78M $35.4M +$5.75M $19.86 7
2016 Q4 1.49M $27.5M -$5.89M $18.35 5
2016 Q3 1.82M $31.4M -$1.13M $17.25 6
2016 Q2 1.88M $29.8M -$6.17M $15.91 6
2016 Q1 2.28M $41M +$14.4M $17.60 6
2015 Q4 1.48M $24M +$1.99M $16.17 6
2015 Q3 1.35M $24.8M -$10.7M $18.33 7
2015 Q2 1.88M $43M +$284K $22.79 8
2015 Q1 1.87M $48.2M -$2.46M $25.82 8
2014 Q4 1.97M $41.4M -$31.9M $21.06 5
2014 Q3 3.48M $72.8M -$2.45M $20.90 7
2014 Q2 3.6M $91.8M -$10.3M $25.51 5
2014 Q1 4M $102M +$1.14M $25.57 6