Vulcan Materials CO - COM (VMC)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
118M
Holdings value Q3 2024
$29.7B
Value change Q3 2024
-$389M
Grand Portfolio weight change Q3 2024
-0.001%
Number of holders
865
Number of buys Q3 2024
429
Number of sells Q3 2024
-351
Average buys Q3 2024 %
+0.005%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 118M $29.7B -$389M $250.43 869
2024 Q2 121M $30B +$602M $248.68 839
2024 Q1 118M $32.3B -$650M $272.92 851
2023 Q4 121M $27.5B +$255M $227.01 809
2023 Q3 120M $24.3B -$291M $202.02 755
2023 Q2 121M $27.2B +$256M $225.44 739
2023 Q1 120M $20.6B -$22.4M $171.56 707
2022 Q4 120M $21.1B +$18.2M $175.11 702
2022 Q3 121M $19.1B +$36.4M $157.71 652
2022 Q2 120M $17.1B -$52.3M $142.10 677
2022 Q1 120M $22.1B +$140M $183.70 722
2021 Q4 120M $24.8B +$227M $207.58 743
2021 Q3 119M $20.1B +$218M $169.16 696
2021 Q2 117M $20.4B +$117M $174.07 692
2021 Q1 117M $19.7B -$50.8M $168.75 683
2020 Q4 117M $17.4B -$363M $148.31 642
2020 Q3 120M $16.3B +$265M $135.54 605
2020 Q2 118M $13.7B -$129M $115.85 610
2020 Q1 120M $12.9B -$3.37M $108.07 589
2019 Q4 119M $17.1B -$479M $143.99 660
2019 Q3 122M $18.4B -$632M $151.24 640
2019 Q2 126M $17.3B -$56.4M $137.31 602
2019 Q1 127M $15.1B +$93.6M $118.40 578
2018 Q4 127M $12.6B -$343M $98.80 543
2018 Q3 130M $14.4B -$159M $111.20 551
2018 Q2 130M $16.8B +$627M $129.06 552
2018 Q1 126M $14.3B +$348M $114.17 560
2017 Q4 122M $15.7B +$405M $128.37 584
2017 Q3 119M $14.2B +$302M $119.60 535
2017 Q2 116M $14.7B +$576M $126.68 556
2017 Q1 115M $13.8B +$622M $120.48 556
2016 Q4 116M $14.5B -$317M $125.15 547
2016 Q3 118M $13.4B +$201M $113.73 504
2016 Q2 116M $14B -$127M $120.36 510
2016 Q1 117M $12.4B -$4.86M $105.57 488
2015 Q4 118M $11.2B +$50.5M $94.97 465
2015 Q3 117M $10.5B -$98.8M $89.20 449
2015 Q2 118M $9.87B -$34.4M $83.93 409
2015 Q1 118M $9.94B +$21.2M $84.30 398
2014 Q4 118M $7.77B +$164M $65.73 351
2014 Q3 116M $6.97B -$20.3M $60.23 354
2014 Q2 116M $7.39B -$37.2M $63.75 357
2014 Q1 116M $7.68B -$11.6M $66.45 362