HERSHEY COMPANY (THE) - CLASS B - COM

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
54.6 M
Holdings value Q1 2024
$10.6 B
Value change Q1 2024
$0
Grand Portfolio weight change Q1 2024
0%
Number of holders
1
Number of buys Q1 2024
0
Number of sells Q1 2024
0
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0
CUSIP
427866306
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 54.6 M $10.6 B $0 $194.50 1
2023 Q4 54.6 M $10.2 B $0 $186.44 1
2023 Q3 54.6 M $10.9 B $0 $200.08 1
2023 Q2 54.6 M $13.6 B -$624 M $249.70 1
2023 Q1 57.1 M $14.5 B -$254 M $254.41 1
2022 Q4 58.1 M $13.5 B $0 $231.57 1
2022 Q3 58.1 M $12.8 B $0 $220.27 1
2022 Q2 58.1 M $12.5 B -$323 M $215.16 1
2022 Q1 59.6 M $12.9 B -$217 M $216.63 1
2021 Q4 60.6 M $11.7 B $0 $193.47 1
2021 Q3 60.6 M $10.3 B $0 $169.25 1
2021 Q2 60.6 M $10.6 B $0 $174.18 1
2021 Q1 60.6 M $9.59 B $0 $158.16 1
2020 Q4 60.6 M $9.23 B $0 $152.33 1
2020 Q3 60.6 M $8.69 B $0 $143.34 1
2020 Q2 60.6 M $7.86 B $0 $129.62 1
2020 Q1 60.6 M $8.03 B $0 $132.50 1
2019 Q4 60.6 M $8.91 B $0 $146.98 1
2019 Q3 60.6 M $9.39 B $0 $154.99 1
2019 Q2 60.6 M $8.12 B $0 $134.03 1
2019 Q1 60.6 M $6.96 B $0 $114.83 1
2018 Q4 60.6 M $6.5 B $0 $107.18 1
2018 Q3 60.6 M $6.18 B $0 $102.00 1
2018 Q2 60.6 M $5.64 B $0 $93.06 1
2018 Q1 60.6 M $6 B $0 $98.96 1
2017 Q4 60.6 M $6.88 B $0 $113.51 1
2017 Q3 60.6 M $6.62 B $0 $109.17 1
2017 Q2 60.6 M $6.51 B $0 $107.37 1
2017 Q1 60.6 M $6.62 B $0 $109.25 1
2016 Q4 60.6 M $6.27 B $0 $103.43 1
2016 Q3 60.6 M $5.79 B $0 $95.60 1
2016 Q2 60.6 M $6.88 B $0 $113.49 1
2016 Q1 60.6 M $5.58 B $0 $92.09 1
2015 Q4 60.6 M $5.41 B $0 $89.27 1
2015 Q3 60.6 M $5.57 B $0 $91.88 1
2015 Q2 60.6 M $5.38 B $0 $88.83 1
2015 Q1 60.6 M $6.12 B $0 $100.91 1
2014 Q4 60.6 M $6.3 B $0 $103.93 1
2014 Q3 60.6 M $5.78 B $0 $95.43 1
2014 Q2 60.6 M $5.9 B $0 $97.37 1
2014 Q1 60.6 M $6.33 B $0 $104.40 1