WEC ENERGY GROUP, INC. - COM (WEC)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
246M
Holdings value Q2 2024
$19.3B
Value change Q2 2024
-$57.5M
Grand Portfolio weight change Q2 2024
0%
Number of holders
1054
Number of buys Q2 2024
514
Number of sells Q2 2024
-390
Average buys Q2 2024 %
+0.005%
Average sells Q2 2024 %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 612K $58.8M -$1.61M $96.18 21
2024 Q2 246M $19.3B -$57.5M $78.46 1,057
2024 Q1 246M $20.2B +$190M $82.12 1,022
2023 Q4 243M $20.5B +$353M $84.17 1,028
2023 Q3 240M $19.3B +$48.1M $80.55 974
2023 Q2 239M $21.1B +$158M $88.24 1,007
2023 Q1 237M $22.5B -$147M $94.79 991
2022 Q4 239M $22.4B +$366M $93.76 1,044
2022 Q3 235M $21B -$73.4M $89.43 983
2022 Q2 235M $23.6B +$841M $100.64 1,019
2022 Q1 229M $22.8B -$314M $99.81 1,000
2021 Q4 232M $22.5B +$151M $97.07 983
2021 Q3 230M $20.3B +$68.1M $88.20 907
2021 Q2 230M $20.4B -$304M $88.95 928
2021 Q1 233M $21.8B +$445M $93.59 916
2020 Q4 229M $21B -$291M $92.03 944
2020 Q3 232M $22.5B +$72.4M $96.90 901
2020 Q2 231M $20.2B -$282M $87.65 887
2020 Q1 234M $20.6B -$750M $88.13 921
2019 Q4 242M $22.3B -$80.2M $92.23 900
2019 Q3 243M $23.1B +$24.9M $95.10 880
2019 Q2 243M $20.3B +$752M $83.37 842
2019 Q1 237M $18.8B +$15.9M $79.08 849
2018 Q4 237M $16.4B +$432M $69.26 834
2018 Q3 230M $15.3B -$96.1M $66.76 777
2018 Q2 232M $15B +$115M $64.65 784
2018 Q1 230M $14.4B -$69.2K $62.70 765
2017 Q4 231M $15.3B +$66.4M $66.43 768
2017 Q3 229M $14.4B +$433M $62.78 707
2017 Q2 222M $13.6B +$166M $61.38 689
2017 Q1 223M $13.5B +$1.55B $60.63 690
2016 Q4 222M $13B +$150M $58.65 685
2016 Q3 220M $13.1B -$171M $59.88 665
2016 Q2 223M $14.5B +$144M $65.30 678
2016 Q1 220M $13.2B +$44.2M $60.07 637
2015 Q4 220M $11.3B +$157M $51.31 592
2015 Q3 216M $11.3B +$2.04B $52.22 596
2015 Q2 180M $8.09B +$8.08B $44.97 534