HUBBELL INC - COM (HUBB)

Historical Portfolio Holders from Q4 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
46.6 M
Holdings value Q1 2024
$19.3 B
Value change Q1 2024
+$193 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
747
Number of buys Q1 2024
346
Number of sells Q1 2024
-328
Average buys Q1 2024 %
+0.009%
Average sells Q1 2024 %
-0.004%
CUSIP
443510607
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 46.6 M $19.3 B +$193 M $415.05 747
2023 Q4 46.4 M $15.2 B +$294 M $328.93 707
2023 Q3 45.8 M $14.4 B -$52.7 M $313.41 656
2023 Q2 45.4 M $15 B -$698 M $331.56 643
2023 Q1 47.4 M $11.5 B -$40.1 M $243.31 562
2022 Q4 45.5 M $10.7 B +$97.7 M $234.68 572
2022 Q3 48.6 M $10.8 B +$205 M $223.00 477
2022 Q2 47.1 M $8.4 B +$227 M $178.58 443
2022 Q1 46.1 M $8.49 B +$16.1 M $183.77 458
2021 Q4 46.7 M $9.72 B +$12.8 M $208.27 468
2021 Q3 46.6 M $8.42 B -$28.1 M $180.67 425
2021 Q2 46.7 M $8.73 B -$7.25 M $186.84 416
2021 Q1 46.2 M $8.64 B +$199 M $186.89 419
2020 Q4 45.9 M $7.19 B -$39.2 M $156.79 424
2020 Q3 46.2 M $6.33 B -$40.4 M $136.84 402
2020 Q2 46.5 M $5.83 B -$50.7 M $125.36 390
2020 Q1 46.5 M $5.34 B +$43.5 M $114.74 359
2019 Q4 46.5 M $6.87 B +$20.9 M $147.82 385
2019 Q3 46.4 M $6.1 B -$100 M $131.40 373
2019 Q2 47.1 M $6.13 B +$120 M $130.40 363
2019 Q1 45.9 M $5.42 B +$15.3 M $117.98 343
2018 Q4 45.9 M $4.56 B -$101 M $99.34 325
2018 Q3 47.5 M $6.35 B -$74 M $133.57 343
2018 Q2 47.8 M $5.05 B +$102 M $105.74 342
2018 Q1 47.1 M $5.74 B +$63.3 M $121.78 371
2017 Q4 46.4 M $6.27 B +$15.5 M $135.34 354
2017 Q3 47 M $5.45 B +$4.15 M $116.02 342
2017 Q2 46.7 M $5.28 B -$5.53 M $113.17 338
2017 Q1 46.8 M $5.62 B +$447 M $120.05 311
2016 Q4 47 M $5.48 B +$137 M $116.70 321
2016 Q3 45.9 M $4.94 B +$33.1 M $107.74 282
2016 Q2 45.6 M $4.81 B -$20.7 M $105.47 281
2016 Q1 45.9 M $4.86 B -$4.87 M $105.93 264
2015 Q4 45.9 M $4.64 B +$4.63 B $101.04 266