WESTROCK CO - COM (WRK)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
63.4K
Holdings value Q3 2024
$3.13M
Value change Q3 2024
-$10.1B
Grand Portfolio weight change Q3 2024
-0.019%
Number of holders
6
Number of buys Q3 2024
1
Number of sells Q3 2024
-561
Average buys Q3 2024 %
+0%
Average sells Q3 2024 %
-0.023%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 63.4K $3.13M -$10.1B $49.86 6
2024 Q2 223M $11.2B +$370M $50.26 576
2024 Q1 210M $10.4B -$130M $49.45 575
2023 Q4 214M $8.88B -$13.9M $41.52 599
2023 Q3 215M $7.69B -$158M $35.80 575
2023 Q2 222M $6.44B +$98.3M $29.07 557
2023 Q1 219M $6.65B +$1.12M $30.47 549
2022 Q4 218M $7.67B -$20.3M $35.16 587
2022 Q3 220M $6.79B +$47.7M $30.89 545
2022 Q2 217M $8.64B -$213M $39.84 577
2022 Q1 221M $10.4B -$1.73M $47.03 608
2021 Q4 221M $9.82B -$360M $44.36 581
2021 Q3 229M $11.4B +$237M $49.83 569
2021 Q2 224M $11.9B +$98.6M $53.22 596
2021 Q1 222M $11.5B +$486M $52.05 571
2020 Q4 214M $9.3B +$101M $43.53 587
2020 Q3 213M $7.39B +$14.1M $34.74 520
2020 Q2 213M $6.02B +$67.1M $28.26 519
2020 Q1 211M $5.97B -$175M $28.26 538
2019 Q4 213M $9.15B +$64.8M $42.91 588
2019 Q3 211M $7.69B -$129M $36.45 521
2019 Q2 214M $7.81B -$39.6M $36.47 524
2019 Q1 218M $8.34B -$219M $38.35 542
2018 Q4 223M $8.41B +$143M $37.76 569
2018 Q3 217M $11.6B -$203M $53.44 605
2018 Q2 221M $12.6B -$355M $57.02 615
2018 Q1 227M $14.5B +$56M $64.17 596
2017 Q4 226M $14.3B +$11.7M $63.21 560
2017 Q3 226M $12.8B +$85.7M $56.73 523
2017 Q2 225M $12.7B +$211M $56.66 495
2017 Q1 223M $11.6B +$1.15B $52.03 494
2016 Q4 223M $11.3B -$144M $50.77 492
2016 Q3 227M $11B -$64.3M $48.48 473
2016 Q2 229M $8.92B +$125M $38.87 452
2016 Q1 224M $8.73B -$39.2M $39.03 443
2015 Q4 226M $10.3B +$53.9M $45.62 470
2015 Q3 212M $10.9B +$10.4B $51.44 477
2015 Q2 8.91M $543M +$543M $60.90 20