Chemours Co - COM (CC)

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
112 M
Holdings value Q1 2024
$2.94 B
Value change Q1 2024
+$90.9 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
413
Number of buys Q1 2024
166
Number of sells Q1 2024
-205
Average buys Q1 2024 %
+0.006%
Average sells Q1 2024 %
-0.001%
CUSIP
163851108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 112 M $2.94 B +$90.9 M $26.26 413
2023 Q4 106 M $3.35 B -$4.6 M $31.54 443
2023 Q3 114 M $3.19 B -$4.51 M $28.05 439
2023 Q2 112 M $4.11 B +$227 M $36.89 450
2023 Q1 105 M $3.15 B +$501 K $29.94 464
2022 Q4 106 M $3.24 B -$44.2 M $30.62 448
2022 Q3 96.7 M $2.39 B +$70.6 M $24.65 424
2022 Q2 108 M $3.46 B -$184 M $32.02 463
2022 Q1 115 M $3.63 B -$48 M $31.48 425
2021 Q4 117 M $3.92 B -$157 M $33.56 456
2021 Q3 122 M $3.54 B -$62.8 M $29.06 426
2021 Q2 124 M $4.3 B +$35.7 M $34.80 422
2021 Q1 123 M $3.44 B -$11.5 M $27.91 393
2020 Q4 124 M $3.08 B -$36.7 M $24.79 382
2020 Q3 125 M $2.62 B +$10.3 M $20.91 337
2020 Q2 125 M $1.92 B -$73.6 M $15.35 345
2020 Q1 132 M $1.17 B -$21.9 M $8.87 328
2019 Q4 131 M $2.37 B +$26.6 M $18.09 380
2019 Q3 130 M $1.94 B -$40.3 M $14.94 366
2019 Q2 125 M $3.01 B -$230 M $24.00 436
2019 Q1 131 M $4.88 B -$59.7 M $37.16 494
2018 Q4 133 M $3.76 B -$109 M $28.22 461
2018 Q3 136 M $5.35 B -$46.6 M $39.44 509
2018 Q2 137 M $6.08 B +$64.2 K $44.36 532
2018 Q1 139 M $6.75 B -$95.4 M $48.71 521
2017 Q4 141 M $7.05 B -$56.1 M $50.06 517
2017 Q3 141 M $7.16 B -$30 M $50.61 486
2017 Q2 141 M $5.34 B -$105 M $37.92 429
2017 Q1 145 M $5.57 B +$949 M $38.50 426
2016 Q4 140 M $3.09 B +$126 M $22.09 367
2016 Q3 137 M $2.19 B +$73.9 M $16.00 324
2016 Q2 136 M $1.12 B +$170 M $8.24 299
2016 Q1 118 M $825 M +$2.2 M $7.00 329
2015 Q4 123 M $660 M -$15.4 M $5.36 355
2015 Q3 118 M $765 M +$597 M $6.47 383
2015 Q2 23.1 M $370 M +$370 M $16.00 60