SPIRE INC - COM (SR)

Historical Portfolio Holders from Q1 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
49.7M
Holdings value Q3 2024
$3.35B
Value change Q3 2024
-$1.48M
Grand Portfolio weight change Q3 2024
0%
Number of holders
304
Number of buys Q3 2024
153
Number of sells Q3 2024
-129
Average buys Q3 2024 %
+0%
Average sells Q3 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 49.7M $3.35B -$1.48M $67.29 304
2024 Q2 49.6M $3.02B +$64.5M $60.73 292
2024 Q1 48.6M $2.98B +$8.95M $61.37 275
2023 Q4 48.4M $3.02B +$13.2M $62.34 278
2023 Q3 48.2M $2.73B +$87.7M $56.58 274
2023 Q2 46.4M $2.95B +$104M $63.44 282
2023 Q1 44.8M $3.14B -$2.04M $70.14 280
2022 Q4 44.9M $3.1B +$7.57M $68.86 282
2022 Q3 44.9M $2.8B +$5.17M $62.33 274
2022 Q2 44.7M $3.33B +$34M $74.37 285
2022 Q1 44.8M $3.21B +$55.1M $71.76 277
2021 Q4 43.9M $2.86B +$83.6M $65.22 266
2021 Q3 42.6M $2.6B -$11.6M $61.18 257
2021 Q2 43.3M $3.13B +$37.5M $72.27 260
2021 Q1 42.8M $3.16B +$76.9M $73.89 267
2020 Q4 41.7M $2.67B +$33.5M $64.04 265
2020 Q3 41.2M $2.19B -$12.7M $53.20 263
2020 Q2 41.3M $2.71B -$55.1M $65.71 267
2020 Q1 42.1M $3.14B +$4.43M $74.48 253
2019 Q4 42.1M $3.5B +$26.5M $83.31 252
2019 Q3 41.6M $3.63B +$81.6M $87.24 264
2019 Q2 40.6M $3.41B +$67.9M $83.92 260
2019 Q1 40.4M $3.33B -$97.1M $82.29 270
2018 Q4 41.6M $3.08B +$29.5M $74.08 247
2018 Q3 41.2M $3.03B +$52.9K $73.55 252
2018 Q2 41.2M $2.91B +$119M $70.65 267
2018 Q1 40M $2.89B +$2.51M $72.30 251
2017 Q4 40.6M $3.05B +$107M $75.15 252
2017 Q3 38.5M $2.87B +$23.8M $74.65 223
2017 Q2 38.4M $2.68B +$166M $69.75 223
2017 Q1 35.5M $2.4B +$405M $67.50 230
2016 Q4 35.5M $2.29B -$57.9M $64.55 250
2016 Q3 36.2M $2.31B -$11M $63.74 234
2016 Q2 35.9M $2.55B +$2.45B $70.84 225
2016 Q1 1.28M $86.4M +$85.9M $67.75 10
2015 Q4 6.79K $403K -$4.54K $59.30 3
2015 Q3 98 $6K -$29.9K $61.22 1
2015 Q2 586 $32K +$3.55K $54.61 1
2015 Q1 521 $27K +$27K $51.82 1