EASTMAN CHEMICAL CO - COM (EMN)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
102M
Holdings value Q2 2024
$9.95B
Value change Q2 2024
+$304M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
737
Number of buys Q2 2024
351
Number of sells Q2 2024
-310
Average buys Q2 2024 %
+0.319%
Average sells Q2 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 129K $14.5M -$397K $111.95 14
2024 Q2 102M $9.95B +$304M $97.97 741
2024 Q1 98.5M $9.87B +$472M $100.22 735
2023 Q4 94.2M $8.46B +$187M $89.82 690
2023 Q3 92.1M $7.07B -$92.5M $76.72 658
2023 Q2 97.1M $8.14B -$131M $83.72 675
2023 Q1 99.5M $8.39B -$3.12M $84.34 676
2022 Q4 99.6M $8.12B -$141M $81.44 683
2022 Q3 99.3M $7.07B -$286M $71.05 627
2022 Q2 105M $9.38B -$211M $89.77 660
2022 Q1 108M $12.1B -$606M $112.06 730
2021 Q4 113M $13.6B -$42.5M $120.91 734
2021 Q3 113M $11.4B -$129M $100.74 691
2021 Q2 114M $13.3B -$110M $116.75 711
2021 Q1 115M $12.7B +$25.7M $110.12 717
2020 Q4 112M $11.3B +$128M $100.28 676
2020 Q3 115M $8.95B +$230M $78.12 616
2020 Q2 111M $7.75B +$316M $69.64 589
2020 Q1 103M $4.8B -$307M $46.58 549
2019 Q4 102M $8.11B +$172M $79.26 626
2019 Q3 109M $8.08B -$197M $73.83 604
2019 Q2 111M $8.61B +$67.9M $77.83 613
2019 Q1 108M $8.22B -$19.1M $75.88 675
2018 Q4 115M $8.37B -$243M $73.11 664
2018 Q3 112M $10.7B -$132M $95.72 680
2018 Q2 120M $11.9B +$32.8M $99.96 711
2018 Q1 121M $12.8B -$38.1M $105.58 685
2017 Q4 121M $11.2B +$148M $92.64 675
2017 Q3 121M $10.9B +$89.1M $90.49 610
2017 Q2 120M $10B +$20.3M $83.99 601
2017 Q1 119M $9.64B +$761M $80.80 590
2016 Q4 120M $9.01B -$164M $75.21 596
2016 Q3 122M $8.24B -$234M $67.68 549
2016 Q2 126M $8.52B -$37.8M $67.90 561
2016 Q1 126M $9.1B +$335M $72.23 555
2015 Q4 123M $8.28B -$6.58M $67.51 543
2015 Q3 123M $7.97B -$41.2M $64.72 551
2015 Q2 122M $9.98B +$267M $81.82 554
2015 Q1 121M $8.4B -$81.7M $69.26 548
2014 Q4 122M $9.26B +$103M $75.86 560
2014 Q3 119M $9.66B -$145M $80.89 525
2014 Q2 120M $10.4B -$147M $87.35 552
2014 Q1 122M $10.5B -$255M $86.21 539