American Funds Washington Mutual F2 - Mutual Fund

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / Mutual Fund
Shares, excl. options Q3 2024
23K
Holdings value Q3 2024
$1.48M
Value change Q3 2024
-$880K
Grand Portfolio weight change Q3 2024
0%
Number of holders
4
Number of buys Q3 2024
3
Number of sells Q3 2024
-2
Average buys Q3 2024 %
+0%
Average sells Q3 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 23K $1.48M -$880K $64.29 4
2024 Q2 38.6K $2.33M +$1.54M $60.34 7
2024 Q1 13.2K $812K -$66.5K $62.12 5
2023 Q4 14.4K $824K -$929K $57.13 7
2023 Q3 29K $1.53M -$2.29M $52.73 5
2023 Q2 70.9K $3.83M +$3.44M $54.10 3
2023 Q1 7.54K $394K -$88.5K $52.26 2
2022 Q4 9.25K $480K +$5.35K $51.91 2
2022 Q3 6.79K $322K -$19.1K $47.39 1
2022 Q2 7.2K $365K +$365K $50.71 1
2022 Q1 0 $0 -$432K 0
2021 Q4 7.14K $432K +$419K $60.50 3
2021 Q3 203 $11K -$640K $54.19 1
2021 Q2 11.7K $651K +$531K $54.93 2
2021 Q1 2.21K $120K -$5.82M $54.23 1
2020 Q4 118K $5.93M +$5.87M $50.11 2
2020 Q1 0 $0 -$241K 0
2019 Q4 5.02K $241K -$1.48M $48.01 1
2019 Q3 36.9K $1.71M -$742K $46.33 3
2019 Q2 52.6K $2.41M -$913K $45.79 4
2019 Q1 72.4K $3.28M +$199K $45.08 4
2018 Q4 48.9K $2.01M +$13.5K $41.03 3
2018 Q3 48.6K $2.27M +$1.68K $46.66 2
2018 Q2 48.6K $2.15M +$6.07K $44.31 2
2018 Q1 48.4K $2.17M +$768K $44.79 2
2017 Q4 31.3K $1.43M $0 $45.61 1
2017 Q3 31.3K $1.39M -$9.24M $44.49 1
2017 Q2 250K $10.6M +$264K $42.32 2
2017 Q1 243K $10.3M -$161K $42.50 2
2016 Q4 247K $10.1M +$394K $40.92 3
2016 Q3 238K $9.66M +$8.16M $40.65 3
2016 Q2 37K $1.48M +$6.57K $40.12 2
2016 Q1 36.8K $1.43M +$1.22M $38.89 2
2015 Q4 5.4K $207K $0 $38.32 1
2015 Q3 5.4K $203K -$6.54M $37.58 1
2015 Q2 169K $6.76M -$754K $40.07 2
2015 Q1 188K $7.68M +$138K $40.84 2
2014 Q4 185K $7.55M +$369K $40.93 2
2014 Q3 176K $7.34M -$8.07K $41.82 2
2014 Q2 176K $7.31M +$88.4K $41.61 2
2014 Q1 174K $6.94M +$446K $39.98 2