Ducommun Inc /De/ (DCO)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$11.6M
Holdings value Q1 2024
$597M
Value change Q1 2024
-$47.8M
Grand Portfolio weight change Q1 2024
0%
Number of holders
138
Number of Buys Q1 2024
54
Number of Sells Q1 2024
-53
Average Buys Q1 2024 %
+0.001%
Average Sells Q1 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 11.6M $597M -$47.8M $51.30 127
2023 Q4 12.6M $654M -$11.4M $52.06 131
2023 Q3 12.9M $561M +$23.2M $43.51 121
2023 Q2 12.5M $544M +$107M $43.57 134
2023 Q1 10.2M $557M +$12.2M $54.71 135
2022 Q4 10.1M $504M +$672K $49.96 123
2022 Q3 10M $397M -$1.75M $39.66 105
2022 Q2 10.1M $434M +$10.5M $43.04 111
2022 Q1 10.1M $530M +$9.68M $52.39 116
2021 Q4 10.1M $471M +$4.47M $46.77 105
2021 Q3 9.84M $495M +$8.22M $50.35 100
2021 Q2 9.82M $536M +$4.2M $54.56 109
2021 Q1 9.88M $593M +$7.33M $60.00 109
2020 Q4 9.83M $528M +$7.77M $53.70 112
2020 Q3 9.65M $318M +$2.8M $32.92 93
2020 Q2 9.92M $346M +$20.9M $34.87 101
2020 Q1 8.95M $222M +$10.3M $24.85 100
2019 Q4 9.67M $489M +$20.3M $50.53 128
2019 Q3 9.59M $407M +$9.75M $42.40 122
2019 Q2 8.67M $391M +$20.6M $45.07 124
2019 Q1 8.21M $357M +$8.69M $43.52 107
2018 Q4 8.1M $294M -$3.47M $36.32 108
2018 Q3 8.25M $337M +$605K $40.84 101
2018 Q2 8.28M $274M +$10.7M $33.09 98
2018 Q1 9.44M $287M +$6.63M $30.38 96
2017 Q4 7.94M $226M +$8.24M $28.45 95
2017 Q3 9.19M $294M +$6.62M $32.05 96
2017 Q2 9.02M $285M +$7.81M $31.58 99
2017 Q1 9.24M $266M +$21.5M $28.79 106
2016 Q4 9.34M $239M +$16.8M $25.56 107
2016 Q3 8.78M $201M +$11M $22.84 90
2016 Q2 7.73M $153M +$2.96M $19.78 90
2016 Q1 8.53M $130M -$142K $15.25 90
2015 Q4 8.6M $139M +$7.74M $16.22 88
2015 Q3 8.74M $175M +$7.23M $20.07 102
2015 Q2 8.4M $216M +$11.1M $25.67 100
2015 Q1 8.39M $217M +$3.92M $25.90 110
2014 Q4 8.28M $209M +$9.51M $25.28 104
2014 Q3 8.16M $224M +$26.9M $27.41 115
2014 Q2 7.95M $208M +$9.99M $26.13 100
2014 Q1 7.84M $196M +$8.4M $25.06 114