Sunoco LP - common (SXL)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / common
Shares, excl. options Q3 2024
217K
Holdings value Q3 2024
$11.7M
Value change Q3 2024
+$568K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
1
Number of buys Q3 2024
1
Number of sells Q3 2024
0
Average buys Q3 2024 %
+0.001%
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 217K $11.7M +$568K $54.13 1
2024 Q2 206K $11.6M $0 $56.54 1
2024 Q1 206K $12.4M $0 $60.29 1
2023 Q4 206K $12.3M $0 $59.93 1
2023 Q3 206K $10.1M $0 $48.95 1
2023 Q2 206K $8.97M $0 $43.56 1
2023 Q1 206K $9.04M $0 $43.89 1
2022 Q4 206K $8.88M $0 $43.10 1
2022 Q3 206K $8.03M $0 $38.97 1
2022 Q2 206K $7.67M +$2.83K $37.25 1
2022 Q1 206K $8.41M $0 $40.84 1
2021 Q4 206K $8.41M -$7.52M $40.83 1
2021 Q3 390K $14.6M $0 $37.32 1
2021 Q2 390K $14.7M $0 $37.71 1
2021 Q1 390K $12.4M $0 $31.85 1
2020 Q4 390K $11.2M -$288K $28.78 1
2020 Q3 400K $9.76M -$301K $24.39 1
2020 Q2 412K $9.41M +$77.6K $22.82 1
2020 Q1 409K $6.4M $0 $15.64 1
2019 Q4 409K $12.5M $0 $30.60 1
2019 Q3 409K $12.9M $0 $31.45 1
2019 Q2 409K $12.8M $0 $31.36 1
2019 Q1 409K $12.7M $0 $31.16 1
2018 Q4 409K $11.1M +$1.46M $27.19 1
2018 Q3 355K $10.5M +$319K $29.55 1
2018 Q2 344K $8.6M $0 $24.96 1
2018 Q1 344K $8.79M $0 $25.51 1
2017 Q4 344K $9.95M $0 $28.89 1
2017 Q3 384K $11.4M -$2.96M $24.69 2
2017 Q2 161K $3.76M -$5.19B $24.19 6
2017 Q1 214M $5.2B +$17.2M $24.42 274
2016 Q4 215M $5.15B +$67.2M $24.02 288
2016 Q3 204M $5.8B +$658M $28.41 274
2016 Q2 186M $5.34B +$474M $28.75 274
2016 Q1 169M $4.23B +$220M $25.07 255
2015 Q4 158M $4.01B +$196M $25.70 261
2015 Q3 140M $4B +$263M $28.66 267
2015 Q2 142M $5.4B +$459M $38.03 286
2015 Q1 130M $5.37B +$665M $41.34 285
2014 Q4 114M $4.74B +$322M $41.78 286
2014 Q3 104M $5.02B +$430M $48.26 272
2014 Q2 95.1M $4.48B +$2.29B $47.11 256
2014 Q1 46.3M $4.21B -$8.25M $90.88 245