Raytheon Technologies Ord - COM (UTX)

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
4K
Holdings value Q2 2024
$402K
Value change Q2 2024
-$4.6M
Grand Portfolio weight change Q2 2024
0%
Number of holders
1
Number of buys Q2 2024
0
Number of sells Q2 2024
-2
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 4K $402K -$4.6M $100.39 1
2024 Q1 51.2K $4.99M +$4.6M $97.53 3
2023 Q4 4K $337K -$905K $84.14 1
2023 Q3 17.3K $1.24M +$1.05M $71.97 1
2023 Q2 2K $196K $0 $97.96 1
2023 Q1 2K $192K $0 $95.93 1
2022 Q4 4.2K $424K -$116K $100.92 2
2022 Q3 6.13K $502K -$47.3K $81.88 2
2022 Q2 6.33K $608K $0 $96.05 2
2022 Q1 6.33K $573K -$5.86M $92.55 2
2021 Q4 73.4K $6.43M -$188M $86.04 4
2021 Q3 2.25M $194M -$23.7M $85.96 5
2021 Q2 2.53M $216M +$49.5M $85.31 7
2021 Q1 1.95M $151M +$118M $77.27 8
2020 Q4 425K $30.4M -$1.4M $71.51 6
2020 Q3 444K $25.6M -$37.3M $57.54 5
2020 Q2 554K $33.5M -$60.1B $61.62 11
2020 Q1 639M $60.3B -$9.06B $94.33 1,514
2019 Q4 707M $106B +$584M $149.76 2,076
2019 Q3 705M $96.2B +$271M $136.52 1,910
2019 Q2 703M $91.5B +$385M $130.20 1,891
2019 Q1 703M $90.6B +$870M $128.89 1,873
2018 Q4 697M $74.2B +$2.95B $106.48 1,848
2018 Q3 666M $93B +$479M $139.81 1,790
2018 Q2 663M $82.8B +$154M $125.03 1,764
2018 Q1 664M $83.5B +$742M $125.82 1,758
2017 Q4 657M $83.8B +$820M $127.57 1,748
2017 Q3 649M $75.3B +$1.3B $116.08 1,576
2017 Q2 637M $77.8B -$446M $122.11 1,571
2017 Q1 639M $71.7B +$4.05B $112.21 1,526
2016 Q4 646M $70.8B -$2.03B $109.62 1,511
2016 Q3 665M $67.5B -$1.51B $101.60 1,461
2016 Q2 678M $69.5B -$1.34B $102.55 1,454
2016 Q1 694M $69.5B -$1.8B $100.10 1,443
2015 Q4 712M $68.4B -$1.61B $96.07 1,413
2015 Q3 728M $64.8B +$203M $88.99 1,384
2015 Q2 729M $80.8B -$1.53B $110.93 1,484
2015 Q1 742M $87B +$500M $117.20 1,482
2014 Q4 739M $85B -$369M $115.00 1,443
2014 Q3 741M $78.3B -$1.1B $105.60 1,354
2014 Q2 751M $86.7B -$458M $115.45 1,367
2014 Q1 755M $88.2B +$178M $116.84 1,361