Fortune Brands Innovations, Inc. - COM (FBIN)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
108 M
Holdings value Q1 2024
$9.11 B
Value change Q1 2024
+$61.6 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
595
Number of buys Q1 2024
233
Number of sells Q1 2024
-255
Average buys Q1 2024 %
+0.002%
Average sells Q1 2024 %
-0.003%
CUSIP
34964C106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 108 M $9.11 B +$61.6 M $84.67 595
2023 Q4 109 M $8.27 B -$404 M $76.14 589
2023 Q3 111 M $6.92 B -$109 M $62.16 546
2023 Q2 110 M $7.87 B -$21.2 M $71.95 558
2023 Q1 110 M $6.43 B +$64.1 M $58.73 529
2022 Q4 109 M $6.22 B -$4.84 M $57.11 557
2022 Q3 107 M $5.77 B +$96.9 M $53.69 581
2022 Q2 110 M $6.59 B -$224 M $59.88 592
2022 Q1 112 M $8.35 B -$262 M $74.28 623
2021 Q4 115 M $12.3 B -$259 M $106.90 682
2021 Q3 110 M $9.88 B -$172 M $89.42 613
2021 Q2 121 M $12.1 B -$31.5 M $99.61 648
2021 Q1 121 M $11.6 B +$76.2 M $95.82 617
2020 Q4 122 M $10.4 B +$76.4 M $85.72 614
2020 Q3 121 M $10.4 B -$62.8 M $86.52 573
2020 Q2 121 M $7.76 B -$46.8 M $63.93 533
2020 Q1 113 M $4.87 B -$63.3 M $43.25 504
2019 Q4 122 M $7.95 B +$58 M $65.34 540
2019 Q3 122 M $6.66 B -$161 M $54.70 482
2019 Q2 122 M $6.95 B +$184 M $57.13 492
2019 Q1 123 M $5.84 B +$8.21 M $47.61 477
2018 Q4 124 M $4.69 B -$137 M $37.99 485
2018 Q3 124 M $6.49 B +$91.7 M $52.36 521
2018 Q2 123 M $6.59 B -$133 M $53.69 525
2018 Q1 127 M $7.47 B -$473 M $58.89 522
2017 Q4 126 M $8.65 B +$26.5 M $68.44 543
2017 Q3 126 M $8.5 B -$106 M $67.23 477
2017 Q2 129 M $8.43 B +$363 M $65.24 480
2017 Q1 132 M $8.01 B +$616 M $60.85 482
2016 Q4 134 M $7.17 B -$310 M $53.46 488
2016 Q3 139 M $8.08 B -$203 M $58.10 493
2016 Q2 144 M $8.32 B +$155 M $57.97 468
2016 Q1 140 M $7.87 B -$346 M $56.04 427
2015 Q4 147 M $8.17 B +$46.6 M $55.50 416
2015 Q3 144 M $6.85 B +$193 M $47.47 385
2015 Q2 141 M $6.45 B +$151 M $45.82 357
2015 Q1 139 M $6.61 B -$75.4 M $47.48 357
2014 Q4 142 M $6.44 B +$8.58 M $45.27 340
2014 Q3 122 M $5 B -$127 M $41.11 314
2014 Q2 125 M $4.99 B -$148 M $39.93 317
2014 Q1 127 M $5.33 B -$153 M $42.08 336