SPDR - COMMON STOCK (XOP)

Historical Institutional Holders from Q1 2014 to Q4 2024

All holders as of December 31, 2024
Q4 2024
Type / Class
Equity / COMMON STOCK
Shares, excl. options Q4 2024
1
Holdings value Q4 2024
$8.00
Value change Q4 2024
$0
Grand Portfolio weight change Q4 2024
0%
Number of holders
1
Number of buys Q4 2024
0
Number of sells Q4 2024
0
Average buys Q4 2024 %
0
Average sells Q4 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 Q4 1 $8.00 $0 $8.00 1
2024 Q3 1 $8.00 $0 $8.00 1
2024 Q2 1 $8.00 $0 $8.00 1
2024 Q1 1.48K $229K -$574K $81.47 2
2023 Q4 5.65K $774K -$631K $136.89 3
2023 Q3 9.5K $1.41M +$1.11M $147.86 3
2023 Q2 1.97K $254K $0 $68.37 2
2023 Q1 1.97K $252K -$2.04M $67.86 2
2022 Q4 17K $2.31M +$2.31M $135.83 3
2022 Q3 0 $0 -$23.2M 0
2022 Q2 200K $23.2M +$22.8M $116.12 1
2022 Q1 3.33K $448K -$28.5M $134.41 1
2021 Q4 272K $28.9M +$28.9M $101.75 2
2021 Q3 0 $0 -$2.06M 0
2021 Q2 21.4K $2.06M +$2.06M $96.69 3
2020 Q4 0
2020 Q3 0 $0 -$2.09M $0.87 1
2020 Q2 40.1K $2.09M -$10.2M $52.18 1
2020 Q1 190K $6.25M -$3.25B $32.89 10
2019 Q4 140M $3.31B +$85.3M $23.70 262
2019 Q3 130M $2.92B -$55.4M $22.36 205
2019 Q2 132M $3.61B +$359M $27.25 229
2019 Q1 122M $3.76B -$962M $30.74 242
2018 Q4 156M $4.14B +$797M $26.53 247
2018 Q3 123M $5.32B +$213M $43.29 274
2018 Q2 119M $5.1B +$352M $43.06 283
2018 Q1 102M $3.61B +$556M $35.22 233
2017 Q4 86.2M $3.21B -$170M $37.18 245
2017 Q3 89.1M $3.04B -$391M $34.09 194
2017 Q2 101M $3.23B +$10.3M $31.92 197
2017 Q1 99.3M $3.72B +$458M $37.44 211
2016 Q4 86.5M $3.58B -$588M $41.42 219
2016 Q3 101M $3.9B +$569M $38.46 173
2016 Q2 88M $3.06B +$912M $34.81 163
2016 Q1 60.3M $1.83B -$139M $30.35 139
2015 Q4 54.3M $1.64B +$421M $30.22 158
2015 Q3 47.7M $1.57B -$344M $32.84 131
2015 Q2 56.5M $2.64B +$426M $46.66 146
2015 Q1 47.1M $2.43B -$412M $51.66 141
2014 Q4 54.9M $2.63B +$413M $47.86 143
2014 Q3 45.5M $3.13B +$28.2M $68.83 111
2014 Q2 44.7M $3.68B -$526M $82.28 121
2014 Q1 51.5M $3.7B +$339M $71.83 97