VIACOM INC NEW - CL B (VIAB)

Historical Portfolio Holders from Q1 2014 to Q1 2022

All holders as of March 31, 2022
Q1 2022
Type / Class
Equity / CL B
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2022 Q1 0 $0 -$731K 0
2021 Q4 24.2K $731K -$20.3M $30.19 1
2021 Q3 1.3M $21M +$2.86M $16.10 1
2021 Q2 1.13M $17.2M +$17.2M $15.31 1
2020 Q1 0 $0 -$27.8M 0
2019 Q4 146K $6.1M -$7.16B $41.96 6
2019 Q3 301M $7.24B -$333M $24.03 570
2019 Q2 312M $9.3B -$250M $29.87 600
2019 Q1 325M $9.11B -$27.1M $28.07 608
2018 Q4 326M $8.38B +$16.7M $25.70 615
2018 Q3 322M $10.9B +$2.27M $33.76 587
2018 Q2 322M $9.71B +$122M $30.16 557
2018 Q1 318M $9.88B -$234M $31.06 561
2017 Q4 326M $10.1B +$147M $30.81 544
2017 Q3 320M $8.92B -$84.6M $27.84 519
2017 Q2 319M $10.7B +$242M $33.57 536
2017 Q1 309M $14.4B +$1.47B $46.62 563
2016 Q4 300M $10.5B -$212M $35.10 560
2016 Q3 299M $11.4B +$105M $38.10 573
2016 Q2 304M $12.6B +$81.5M $41.47 586
2016 Q1 303M $12.5B -$446M $41.28 577
2015 Q4 315M $13B -$376M $41.16 595
2015 Q3 321M $13.9B -$234M $43.15 570
2015 Q2 320M $20.7B +$471M $64.64 668
2015 Q1 305M $20.9B -$369M $68.30 637
2014 Q4 319M $24B -$151M $75.25 665
2014 Q3 321M $24.7B -$610M $76.94 620
2014 Q2 328M $28.4B -$795M $86.73 636
2014 Q1 337M $28.6B -$405M $84.99 630