Urban Edge Properties - COM (UE)

Historical Portfolio Holders from Q1 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
112M
Holdings value Q2 2024
$2.07B
Value change Q2 2024
+$38.3M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
210
Number of buys Q2 2024
106
Number of sells Q2 2024
-96
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 Q3 52.4K $1.12M +$143K $21.40 3
2024 Q2 112M $2.07B +$38.3M $18.47 210
2024 Q1 110M $1.9B -$41.6M $17.27 209
2023 Q4 113M $2.06B +$42.8M $18.30 220
2023 Q3 111M $1.69B -$84.7M $15.26 195
2023 Q2 116M $1.79B -$29.6M $15.43 179
2023 Q1 118M $1.78B +$42M $15.06 177
2022 Q4 116M $1.63B +$1.32M $14.09 175
2022 Q3 115M $1.54B +$18.4M $13.34 169
2022 Q2 114M $1.73B -$9.33M $15.21 169
2022 Q1 115M $2.2B +$100M $19.10 180
2021 Q4 110M $2.1B -$19.1M $19.00 183
2021 Q3 111M $2.04B +$11.3M $18.31 186
2021 Q2 111M $2.11B +$26.8M $19.10 186
2021 Q1 109M $1.81B -$21.4M $16.52 176
2020 Q4 111M $1.44B +$85.9M $12.94 168
2020 Q3 106M $1.03B +$3.16M $9.72 188
2020 Q2 105M $1.24B +$4.58M $11.87 201
2020 Q1 105M $926M -$94.3M $8.81 194
2019 Q4 113M $2.17B +$53.2M $19.18 211
2019 Q3 110M $2.18B +$71.1M $19.79 185
2019 Q2 107M $1.85B -$21.4M $17.33 189
2019 Q1 108M $2.06B +$157M $19.00 209
2018 Q4 100M $1.66B -$14.8M $16.62 206
2018 Q3 101M $2.23B +$15.8M $22.08 190
2018 Q2 100M $2.29B -$67M $22.87 197
2018 Q1 103M $2.2B -$63.8M $21.35 192
2017 Q4 104M $2.66B +$10.8M $25.49 199
2017 Q3 104M $2.5B +$203M $24.12 197
2017 Q2 95.3M $2.26B +$162M $23.73 208
2017 Q1 88.4M $2.33B +$282M $26.30 203
2016 Q4 88.1M $2.42B -$11.4M $27.51 212
2016 Q3 88.8M $2.5B -$44.9M $28.14 205
2016 Q2 91.1M $2.72B +$151M $29.86 211
2016 Q1 85.7M $2.21B +$23M $25.84 195
2015 Q4 85.1M $2B +$13.1M $23.45 203
2015 Q3 84.9M $1.83B -$3.14M $21.59 195
2015 Q2 84.9M $1.77B +$88.4M $20.79 190
2015 Q1 87.3M $2.07B +$1.91B $23.70 207