WM MORRISON SUPERMARKETS PLC - ADR (MRWSY) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2021

Type / Class
Equity / ADR
Symbol
MRWSY
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of WM MORRISON SUPERMARKETS PLC - ADR (MRWSY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q4 0 $0 -$11,000 0
2021 Q3 560 $11,000 -$1,067,668 $19.64 1
2021 Q2 63,214 $1,077,000 -$33,077,290 $17.03 3
2021 Q1 2,651,738 $33,809,000 +$2,479,958 $12.58 3
2020 Q4 2,457,377 $29,949,000 +$2,232,249 $12.12 3
2020 Q3 2,274,437 $24,822,000 -$2,092,473 $10.47 4
2020 Q2 2,467,062 $29,136,000 -$1,104,491 $11.81 3
2020 Q1 2,562,261 $28,257,000 +$4,366,895 $11.02 4
2019 Q4 2,166,255 $28,647,000 +$4,041,327 $13.19 4
2019 Q3 1,860,589 $22,921,000 +$4,649,214 $12.04 3
2019 Q2 1,487,907 $18,938,000 +$1,001,936 $12.66 4
2019 Q1 1,409,116 $21,040,000 +$3,102,790 $14.71 5
2018 Q4 1,201,239 $16,190,000 +$239,582 $13.18 4
2018 Q3 1,183,226 $19,901,000 +$2,008,188 $16.82 3
2018 Q2 1,063,850 $17,659,000 +$1,341,682 $16.20 2
2018 Q1 983,081 $14,739,000 +$3,358,355 $13.12 3
2017 Q4 759,064 $11,199,000 -$1,233,474 $13.19 3
2017 Q3 845,110 $13,317,000 -$863,755 $15.67 3
2017 Q2 901,492 $13,972,000 +$2,309,629 $15.00 3
2017 Q1 754,853 $11,324,000 +$6,249,853 $15.00 3
2016 Q4 338,198 $4,795,000 +$1,581,267 $13.19 3
2016 Q3 226,730 $3,199,000 +$256,213 $13.65 4
2016 Q2 208,559 $2,602,000 +$135,859 $11.52 4
2016 Q1 197,727 $2,825,000 +$1,093,113 $13.19 3
2015 Q4 121,178 $1,326,000 -$6,709,000 $10.94 1
2015 Q3 650,003 $8,035,000 -$3,641,981 $14.81 3
2015 Q2 918,045 $13,055,000 -$667,880 $14.22 4
2015 Q1 965,012 $13,781,000 +$661,573 $14.28 3
2014 Q4 824,118 $13,037,000 +$1,176,095 $14.18 3
2014 Q3 836,700 $11,450,000 +$404,985 $13.68 3
2014 Q2 740,392 $11,648,000 -$2,763,256 $15.75 4
2014 Q1 894,096 $15,895,000 -$496,543 $17.76 5