Nomad Foods Ltd - USD ORD SHS (NOMD)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / USD ORD SHS
Shares, excl. options Q3 2024
121M
Holdings value Q3 2024
$2.3B
Value change Q3 2024
-$47.8M
Grand Portfolio weight change Q3 2024
0%
Number of holders
186
Number of buys Q3 2024
80
Number of sells Q3 2024
-110
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 121M $2.3B -$47.8M $19.06 187
2024 Q2 124M $2.05B +$21.9M $16.48 198
2024 Q1 123M $2.39B +$1.42M $19.56 179
2023 Q4 122M $2.08B +$10.9M $16.95 179
2023 Q3 122M $1.85B -$149M $15.22 167
2023 Q2 131M $2.3B -$104M $17.52 166
2023 Q1 137M $2.58B +$46M $18.74 163
2022 Q4 135M $2.34B +$24.1M $17.24 177
2022 Q3 135M $1.92B -$227M $14.20 183
2022 Q2 137M $2.73B -$124M $19.99 174
2022 Q1 138M $3.11B +$48.6M $22.58 182
2021 Q4 135M $3.44B -$357M $25.39 203
2021 Q3 137M $3.77B +$11.2M $27.56 206
2021 Q2 134M $3.78B +$57.2M $28.27 217
2021 Q1 133M $3.65B -$15.5M $27.46 216
2020 Q4 133M $3.39B -$228M $25.42 225
2020 Q3 142M $3.62B -$290M $25.48 232
2020 Q2 154M $3.31B +$51.8M $21.45 238
2020 Q1 152M $2.82B -$170M $18.56 204
2019 Q4 160M $3.58B +$129M $22.37 207
2019 Q3 154M $3.16B +$22.6M $20.50 204
2019 Q2 153M $3.27B +$43M $21.36 200
2019 Q1 152M $3.12B +$400M $20.45 223
2018 Q4 133M $2.23B +$16.6M $16.72 196
2018 Q3 131M $2.64B +$38.6M $20.26 200
2018 Q2 129M $2.47B -$49.5M $19.19 185
2018 Q1 134M $2.11B +$75.1M $15.74 166
2017 Q4 129M $2.18B +$55.8M $16.91 156
2017 Q3 126M $1.83B -$117M $14.57 153
2017 Q2 135M $1.9B -$34.4M $14.11 124
2017 Q1 144M $1.65B +$41M $11.45 103
2016 Q4 144M $1.38B -$63.1M $9.57 94
2016 Q3 134M $1.59B +$2.6M $11.82 97
2016 Q2 134M $1.07B -$36.5M $7.98 75
2016 Q1 138M $1.24B +$1.24B $9.01 66
2015 Q4 85.9K $1.03M +$588K $12.00 1
2015 Q3 36.9K $575K +$99K $15.59 1
2015 Q2 21.6K $476K +$476K $22.02 1