Cellcom Israel Ltd. - Common Stock (CELJF)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / Common Stock
Shares, excl. options Q2 2024
0
Holdings value Q2 2024
$0
Value change Q2 2024
-$2.25M
Grand Portfolio weight change Q2 2024
0%
Number of holders
0
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
Average buys Q2 2024 %
0
Average sells Q2 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 Q2 0 $0 -$2.25M 0
2024 Q1 528K $2.25M -$812K $4.27 1
2023 Q4 718K $2.98M +$563K $4.16 1
2023 Q3 582K $1.87M -$80.7K $3.21 1
2023 Q2 608K $2.1M +$464K $3.46 1
2023 Q1 473K $1.7M +$161K $3.59 1
2022 Q4 428K $2.25M -$127K $5.25 1
2022 Q3 452K $2.31M +$367K $5.11 1
2022 Q2 380K $1.87M -$407K $4.92 1
2022 Q1 463K $2.68M -$2.78M $5.78 1
2021 Q4 944K $5.31M -$7.26K $4.31 2
2021 Q3 946K $3.3M -$2.13M $3.24 2
2021 Q2 1.56M $6.76M -$22.4M $4.17 2
2021 Q1 7.57M $28.4M -$13.9M $3.75 10
2020 Q4 8.95M $43.6M -$4.32M $4.86 27
2020 Q3 10M $41.1M +$3.57M $4.09 29
2020 Q2 9.18M $35.9M +$2.41M $3.92 29
2020 Q1 8.56M $25M -$777K $2.91 30
2019 Q4 8.41M $26.6M -$813K $3.15 25
2019 Q3 8.9M $24.7M -$139K $2.78 26
2019 Q2 10M $28.7M +$2.9M $2.89 29
2019 Q1 8.98M $32.4M +$1.33M $3.61 27
2018 Q4 8.37M $49.1M +$2.58M $5.88 37
2018 Q3 8.19M $55.7M -$812K $6.83 32
2018 Q2 8.05M $45.9M -$4.8M $5.70 31
2018 Q1 9.18M $65.3M -$13.5M $7.12 31
2017 Q4 10.5M $108M +$2.2M $10.21 37
2017 Q3 8.98M $83.2M +$13.2M $9.23 31
2017 Q2 7.56M $72.6M -$6.65M $9.60 36
2017 Q1 8.22M $84.7M -$510K $10.29 35
2016 Q4 8.28M $65.9M +$290K $7.93 38
2016 Q3 8.24M $61M -$9.29M $7.49 36
2016 Q2 9.63M $63.6M -$6.2M $6.57 43
2016 Q1 10.5M $74.3M +$392K $7.06 36
2015 Q4 10.5M $65.2M -$4.17M $6.20 44
2015 Q3 11.2M $69.9M +$28.2M $6.22 44
2015 Q2 6.76M $25.8M -$24.3M $3.82 38
2015 Q1 9.47M $45.5M -$10.7M $4.80 42
2014 Q4 9.33M $80.9M +$7.82M $8.65 42
2014 Q3 8.56M $94.1M -$1.62M $10.98 41
2014 Q2 8.7M $105M +$2.74M $12.09 48
2014 Q1 8.49M $117M -$2.49M $13.78 47