Equity Commonwealth - COM SH BEN INT (EQC)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM SH BEN INT
Shares, excl. options Q2 2024
101M
Holdings value Q2 2024
$1.95B
Value change Q2 2024
-$17.9M
Grand Portfolio weight change Q2 2024
0%
Number of holders
256
Number of buys Q2 2024
122
Number of sells Q2 2024
-135
Average buys Q2 2024 %
+0.007%
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 Q2 101M $1.95B -$17.9M $19.40 256
2024 Q1 101M $1.91B -$16M $18.88 261
2023 Q4 102M $1.95B +$27.7M $19.20 264
2023 Q3 99.5M $1.83B -$71.4M $18.37 254
2023 Q2 104M $2.11B -$48.4M $20.26 249
2023 Q1 106M $2.19B +$7.54M $20.71 245
2022 Q4 105M $2.61B -$44.3M $24.97 251
2022 Q3 106M $2.59B -$10M $24.36 225
2022 Q2 107M $2.95B -$90.6M $27.53 227
2022 Q1 111M $3.12B +$84.8M $28.21 235
2021 Q4 107M $2.76B -$168M $25.90 237
2021 Q3 115M $2.98B -$106M $25.98 244
2021 Q2 120M $3.14B +$110M $26.20 261
2021 Q1 115M $3.2B +$38M $27.80 267
2020 Q4 114M $3.12B +$20.8M $27.28 250
2020 Q3 113M $3.02B -$30.7M $26.63 257
2020 Q2 113M $3.62B -$19.5M $32.20 264
2020 Q1 116M $3.67B -$87.1M $31.71 244
2019 Q4 118M $3.88B +$23M $32.83 248
2019 Q3 118M $4.03B -$44M $34.25 259
2019 Q2 119M $3.87B +$69.7M $32.52 252
2019 Q1 119M $3.9B +$27.7M $32.69 254
2018 Q4 118M $3.53B -$44.6M $30.01 233
2018 Q3 119M $3.83B +$10.9M $32.09 232
2018 Q2 118M $3.72B -$209K $31.50 238
2018 Q1 119M $3.66B -$48.4M $30.67 226
2017 Q4 121M $3.69B +$43.8M $30.51 239
2017 Q3 119M $3.63B +$44.5M $30.40 237
2017 Q2 118M $3.73B +$155M $31.60 234
2017 Q1 118M $3.67B +$262M $31.22 247
2016 Q4 116M $3.52B -$109M $30.24 275
2016 Q3 116M $3.51B +$94.9M $30.22 268
2016 Q2 117M $3.41B +$3.17M $29.13 264
2016 Q1 117M $3.3B +$54.5M $28.22 247
2015 Q4 112M $3.12B +$67.3M $27.73 236
2015 Q3 110M $2.99B -$94M $27.24 219
2015 Q2 113M $2.9B +$77.4M $25.67 216
2015 Q1 120M $3.18B +$118M $26.55 210
2014 Q4 109M $2.81B -$46M $25.67 215
2014 Q3 109M $2.81B +$2.79B $25.71 194
2014 Q2 754K $19.9M +$19.4M $26.32 7
2014 Q1 16.9K $443K $0 $26.28 1