Abbott Laboratories - COM

Historical Portfolio Holders from Q2 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
13.6 K
Holdings value Q1 2024
$1.55 M
Value change Q1 2024
-$66.2 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
1
Number of buys Q1 2024
0
Number of sells Q1 2024
-1
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0%
CUSIP
028241000
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 13.6 K $1.55 M -$66.2 K $113.66 1
2023 Q4 14.2 K $1.56 M -$34.6 K $110.08 1
2023 Q3 14.5 K $1.41 M +$744 K $96.85 1
2023 Q2 6.83 K $744 K -$29.3 K $109.02 1
2023 Q1 7.1 K $719 K -$50.3 K $101.27 1
2022 Q4 7.59 K $834 K -$24 K $109.79 1
2022 Q3 7.81 K $755 K +$90 K $96.65 1
2022 Q2 6.88 K $747 K +$15.1 K $108.56 1
2022 Q1 6.74 K $798 K -$12.8 K $118.36 1
2021 Q4 6.85 K $964 K +$844 $140.73 1
2021 Q3 6.84 K $808 K +$23.3 K $118.06 1
2021 Q2 6.65 K $770 K +$19.8 K $115.84 1
2021 Q1 6.48 K $776 K -$304 K $119.83 1
2020 Q4 9.01 K $986 K +$292 K $109.41 1
2020 Q3 6.34 K $690 K -$9.03 K $108.80 1
2020 Q2 6.43 K $587 K +$49.7 K $91.36 1
2020 Q1 5.88 K $464 K +$9.31 K $78.90 1
2019 Q4 5.76 K $500 K +$55.5 K $86.76 1
2019 Q3 5.12 K $428 K -$8.28 M $83.54 1
2019 Q2 104 K $8.71 M +$8.27 M $84.02 2
2019 Q1 5.28 K $422 K -$105 K $79.88 1
2018 Q4 6.59 K $476 K +$14.6 K $72.20 1
2018 Q3 6.39 K $468 K -$6.37 K $73.23 1
2018 Q2 6.48 K $395 K -$91.6 K $60.98 1
2018 Q1 7.98 K $478 K -$54.4 K $59.90 1
2017 Q4 8.89 K $507 K +$98.2 K $57.04 1
2017 Q3 7.17 K $382 K -$581 K $53.30 1
2017 Q2 18.1 K $878 K -$53.1 K $48.62 1
2017 Q1 19.2 K $850 K +$111 K $44.38 1
2016 Q4 16.6 K $639 K +$6.49 K $38.39 1
2016 Q3 16.5 K $697 K -$29.1 K $42.30 1
2016 Q2 17.2 K $675 K +$41.7 K $39.32 1
2016 Q1 16.1 K $673 K -$48.5 K $41.79 1
2015 Q4 17.3 K $775 K -$4.49 K $44.89 1
2015 Q3 17.4 K $698 K +$4.02 K $40.20 1
2015 Q2 17.3 K $847 K +$847 K $49.06 1