Exelon Corp (EXC)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$780M
Holdings value Q1 2024
$29.3B
Value change Q1 2024
+$519M
Grand Portfolio weight change Q1 2024
+0.001%
Number of holders
1058
Number of Buys Q1 2024
418
Number of Sells Q1 2024
-459
Average Buys Q1 2024 %
+0.007%
Average Sells Q1 2024 %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 780M $29.3B +$519M $37.57 990
2023 Q4 788M $28.3B -$182M $35.90 1,011
2023 Q3 779M $29.5B +$307M $37.79 995
2023 Q2 788M $32.1B -$146M $40.74 1,002
2023 Q1 800M $33.5B +$227M $41.89 993
2022 Q4 776M $33.6B +$699M $43.23 1,001
2022 Q3 790M $29.6B -$56.7M $37.46 976
2022 Q2 794M $36B +$698M $45.32 1,021
2022 Q1 786M $37.4B +$805M $47.63 1,020
2021 Q4 775M $44.7B +$160M $57.76 1,051
2021 Q3 783M $37.9B +$90.4M $48.34 932
2021 Q2 783M $34.7B +$482M $44.31 927
2021 Q1 769M $33.6B +$561M $43.74 926
2020 Q4 769M $32.4B +$518M $42.22 933
2020 Q3 750M $26.8B +$20M $35.76 854
2020 Q2 768M $27.9B +$236M $36.29 875
2020 Q1 759M $27.9B +$770M $36.81 879
2019 Q4 757M $34.5B +$201M $45.59 980
2019 Q3 763M $36.8B -$940K $48.31 978
2019 Q2 766M $36.7B +$562M $47.94 1,014
2019 Q1 780M $39.1B +$346M $50.13 1,017
2018 Q4 776M $35B +$859M $45.10 987
2018 Q3 753M $32.9B -$88.3M $43.66 931
2018 Q2 756M $32.2B +$726M $42.60 911
2018 Q1 755M $29.4B +$552M $39.01 896
2017 Q4 748M $29.5B +$305M $39.41 885
2017 Q3 743M $28B +$328M $37.67 800
2017 Q2 739M $26.6B +$1.47B $36.07 817
2017 Q1 702M $25.3B +$3B $35.98 801
2016 Q4 698M $24.8B +$312M $35.49 834
2016 Q3 693M $23.1B +$311M $33.29 780
2016 Q2 689M $25B +$73.2M $36.36 794
2016 Q1 691M $24.7B +$234M $35.86 790
2015 Q4 695M $19.3B +$192M $27.77 751
2015 Q3 680M $20.2B -$700M $29.70 771
2015 Q2 709M $22.3B +$242M $31.42 756
2015 Q1 724M $24.3B +$528M $33.61 760
2014 Q4 712M $26.4B +$437M $37.08 773
2014 Q3 705M $24B +$831M $34.09 735
2014 Q2 690M $25.2B +$2.27B $36.48 759
2014 Q1 629M $21.1B +$939M $33.56 703