Crane Co - COM (CR)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
2.14K
Holdings value Q2 2024
$310K
Value change Q2 2024
+$178K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
1
Number of buys Q2 2024
1
Number of sells Q2 2024
0
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 2.14K $310K +$178K $144.86 1
2024 Q1 913 $123K -$266K $134.72 1
2023 Q4 4.67K $266K -$14.1K $56.93 1
2023 Q3 4.92K $273K $0 $55.50 1
2023 Q2 4.92K $278K -$5.93M $56.52 1
2023 Q1 65.5K $7.44M -$7.27M $113.51 4
2022 Q4 134K $13.4M -$6.37M $100.45 7
2022 Q3 214K $19.4M -$3.85M $87.54 10
2022 Q2 213K $18.6M -$4.25B $87.54 12
2022 Q1 39.9M $4.32B -$107M $108.28 374
2021 Q4 40.9M $4.16B -$98.9M $101.73 360
2021 Q3 41.8M $3.97B -$8.73M $94.81 333
2021 Q2 41.9M $3.87B +$132M $92.37 330
2021 Q1 40.3M $3.78B +$58.3M $93.91 325
2020 Q4 39.7M $3.08B +$130M $77.66 314
2020 Q3 37.9M $1.9B -$50.1M $50.13 295
2020 Q2 38.6M $2.29B +$8.24M $59.46 299
2020 Q1 39.6M $1.95B -$116M $49.18 279
2019 Q4 41M $3.54B -$31.6M $86.38 319
2019 Q3 41.5M $3.34B -$29.3M $80.63 322
2019 Q2 42.1M $3.51B +$60.6M $83.44 338
2019 Q1 42.2M $3.57B +$76.9M $84.62 339
2018 Q4 40.7M $2.94B -$76.3M $72.18 338
2018 Q3 42.5M $4.17B +$107M $98.35 334
2018 Q2 41.5M $3.32B +$3.8M $80.13 336
2018 Q1 41.8M $3.88B +$59.2M $92.74 334
2017 Q4 41.2M $3.67B +$27.6M $89.22 330
2017 Q3 41.2M $3.3B -$66.1M $79.99 308
2017 Q2 42.1M $3.34B +$95.3M $79.38 317
2017 Q1 41.6M $3.11B +$336M $74.83 300
2016 Q4 40.9M $2.95B +$76.5M $72.12 323
2016 Q3 39.9M $2.51B +$27.5M $63.01 281
2016 Q2 39.9M $2.26B +$14.3M $56.72 264
2016 Q1 39.6M $2.13B +$18.9M $53.86 251
2015 Q4 39.3M $1.88B -$33.2M $47.84 237
2015 Q3 39.5M $1.84B -$13.1M $46.61 234
2015 Q2 39.6M $2.33B -$45.3M $58.73 239
2015 Q1 41.2M $2.57B +$39.8M $62.41 247
2014 Q4 40.8M $2.39B -$62.5M $58.70 237
2014 Q3 41.7M $2.63B -$23.8M $63.21 255
2014 Q2 41.7M $3.1B +$18.1M $74.36 254
2014 Q1 40.7M $2.89B +$53.7M $71.15 247