Energy Transfer LP (ET)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM UT LTD PTN
Shares, Excl. Options Q1 2024
$1.04B
Holdings value Q1 2024
$16.3B
Value change Q1 2024
+$6.75M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
1074
Number of Buys Q1 2024
492
Number of Sells Q1 2024
-313
Average Buys Q1 2024 %
+0.02%
Average Sells Q1 2024 %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 1.04B $16.3B +$6.75M $15.73 1,038
2023 Q4 1.07B $14.7B +$853M $13.80 1,057
2023 Q3 1.06B $14.8B -$45.9M $14.03 967
2023 Q2 996M $12.7B -$84.9M $12.70 950
2023 Q1 1.07B $13.3B -$603M $12.47 923
2022 Q4 1.12B $13.3B +$41.5M $11.87 905
2022 Q3 1.15B $12.7B -$238M $11.03 847
2022 Q2 1.18B $11.8B +$35.3M $9.98 835
2022 Q1 1.2B $13.4B +$489M $11.19 825
2021 Q4 1.15B $9.53B +$1.09B $8.23 808
2021 Q3 1.02B $9.74B +$35.9M $9.58 781
2021 Q2 1.01B $10.7B +$126M $10.63 756
2021 Q1 963M $7.41B +$138M $7.68 722
2020 Q4 1.02B $6.31B +$349M $6.18 762
2020 Q3 973M $5.3B -$418M $5.42 738
2020 Q2 1.07B $7.6B -$280M $7.12 774
2020 Q1 1.19B $5.46B -$342M $4.60 754
2019 Q4 1.41B $18.1B +$167M $12.83 808
2019 Q3 1.4B $18.1B -$307M $13.08 743
2019 Q2 1.45B $20.4B +$495M $14.08 743
2019 Q1 1.49B $22.9B +$426M $15.37 754
2018 Q4 1.42B $18.7B +$11.7B $13.21 753
2018 Q3 530M $9.21B +$525M $17.43 419
2018 Q2 505M $8.7B -$42.6M $17.25 399
2018 Q1 494M $7.02B +$328M $14.21 406
2017 Q4 520M $8.98B +$385M $17.26 420
2017 Q3 554M $9.63B +$631M $17.38 397
2017 Q2 523M $9.39B +$511M $17.96 386
2017 Q1 503M $9.92B +$574M $19.73 387
2016 Q4 479M $9.2B +$463M $19.31 381
2016 Q3 455M $7.64B +$163M $16.79 383
2016 Q2 453M $6.52B -$137M $14.37 382
2016 Q1 464M $3.31B -$393M $7.13 372
2015 Q4 544M $7.43B +$474M $13.74 405
2015 Q3 519M $10.8B +$5.36B $20.81 393
2015 Q2 265M $16.9B +$366M $64.17 422
2015 Q1 263M $16.6B +$345M $63.36 436
2014 Q4 256M $14.7B +$275M $57.38 405
2014 Q3 268M $16.5B +$562M $61.69 396
2014 Q2 261M $15.4B +$202M $58.94 387
2014 Q1 261M $12.2B +$5.52B $46.75 368