SOCIETE GE - Common Stock (SCGLY)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / Common Stock
Shares, excl. options Q2 2024
210K
Holdings value Q2 2024
$993K
Value change Q2 2024
+$15K
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 210K $993K +$15K $4.75 5
2024 Q1 206K $1.12M +$31.9K $5.43 6
2023 Q4 200K $1.07M -$150M $5.37 5
2023 Q3 31M $151M +$75.5M $4.88 6
2023 Q2 15.6M $80.8M +$49.3M $5.26 6
2023 Q1 6.06M $27.4M +$26.3M $4.55 5
2022 Q4 228K $1.14M -$112K $4.96 3
2022 Q3 251K $997K +$107K $3.96 3
2022 Q2 222K $969K +$96.9K $4.37 6
2022 Q1 200K $1.09M +$12.1K $5.38 5
2021 Q4 197K $1.36M -$10.5K $6.89 6
2021 Q3 133K $836K -$669K $6.30 6
2021 Q2 241K $1.43M -$23.3M $5.99 7
2021 Q1 4.69M $24.6M +$805K $5.25 7
2020 Q4 4.52M $18.8M +$2.6M $4.16 5
2020 Q3 3.9M $10.5M -$2.47M $2.69 6
2020 Q2 4.76M $15.8M -$2.3M $3.33 8
2020 Q1 5.46M $17.9M -$111M $3.24 9
2019 Q4 38.4M $268M +$13.6M $6.96 8
2019 Q3 36.5M $200M +$48.6M $5.48 9
2019 Q2 27.6M $140M -$16.4M $5.00 9
2019 Q1 30.9M $179M +$2.79M $5.79 11
2018 Q4 30.4M $193M +$6.67M $6.36 11
2018 Q3 29.4M $252M +$58.8M $8.58 10
2018 Q2 22.5M $190M +$9.39M $8.39 10
2018 Q1 21.4M $233M +$9.38M $10.87 10
2017 Q4 20.5M $212M +$12.9M $10.36 10
2017 Q3 19.2M $225M +$5.52M $11.77 6
2017 Q2 18.8M $202M +$171M $10.88 6
2017 Q1 2.87M $29.1M +$5.44M $10.11 6
2016 Q4 2.34M $23M +$8.71M $9.82 10
2016 Q3 1.45M $10.1M -$650K $6.95 9
2016 Q2 1.55M $9.95M +$2.13M $6.28 8
2016 Q1 1.22M $9.07M -$2.74M $7.44 7
2015 Q4 1.59M $14.6M +$13.5M $9.23 6
2015 Q3 120K $1.07M -$10M $8.89 4
2015 Q2 1.18M $11.1M +$1.81M $9.33 5
2015 Q1 990K $9.6M -$2.55M $9.67 5
2014 Q4 1.32M $11M -$5.32M $8.38 6
2014 Q3 1.84M $18.8M +$270K $10.21 10
2014 Q2 1.81M $19M -$1.47M $10.48 9
2014 Q1 1.84M $22.7M -$10.9M $12.32 9