John Bean Technologies CORP - COM (JBT)

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
30.6 M
Holdings value Q1 2024
$3.21 B
Value change Q1 2024
+$34.5 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
274
Number of buys Q1 2024
141
Number of sells Q1 2024
-140
Average buys Q1 2024 %
+0.007%
Average sells Q1 2024 %
0%
CUSIP
477839104
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 30.6 M $3.21 B +$34.5 M $104.89 274
2023 Q4 31 M $3.08 B +$1.46 M $99.45 293
2023 Q3 31.3 M $3.29 B -$7.17 M $105.14 270
2023 Q2 30.9 M $3.75 B -$21.2 M $121.30 272
2023 Q1 30.7 M $3.35 B +$43.8 M $109.29 272
2022 Q4 31.2 M $2.85 B -$40 M $91.33 272
2022 Q3 31.5 M $2.71 B -$178 M $86.00 253
2022 Q2 31.5 M $3.48 B +$13.5 M $110.42 268
2022 Q1 31.7 M $3.76 B +$64.9 M $118.47 271
2021 Q4 31.7 M $4.87 B -$74.8 M $153.56 281
2021 Q3 32.1 M $4.51 B -$25.4 M $140.55 265
2021 Q2 32.2 M $4.59 B +$70.6 M $142.62 269
2021 Q1 32 M $4.26 B -$120 M $133.34 262
2020 Q4 33.2 M $3.78 B -$109 M $113.87 248
2020 Q3 34.3 M $3.15 B -$13.4 M $91.89 239
2020 Q2 34.3 M $2.95 B +$10.6 M $86.02 218
2020 Q1 34 M $2.52 B +$7.3 M $74.27 212
2019 Q4 33.9 M $3.82 B +$101 M $112.66 242
2019 Q3 33 M $3.28 B +$3.93 M $99.43 241
2019 Q2 33 M $4 B -$13.8 M $121.13 253
2019 Q1 33.3 M $3.06 B +$28 M $91.89 234
2018 Q4 33 M $2.37 B -$77 M $71.81 220
2018 Q3 34 M $4.06 B +$45.6 M $119.30 238
2018 Q2 34.3 M $3.05 B +$29.3 M $88.90 205
2018 Q1 33.6 M $3.8 B +$10.3 M $113.40 247
2017 Q4 33.4 M $3.71 B -$46.4 M $110.80 250
2017 Q3 33.4 M $3.38 B +$151 M $101.10 227
2017 Q2 31.8 M $3.12 B +$48.9 M $98.00 226
2017 Q1 31.3 M $2.75 B +$510 M $87.95 225
2016 Q4 28.8 M $2.48 B -$2.35 M $85.95 226
2016 Q3 28.9 M $2.04 B +$42.6 M $70.55 193
2016 Q2 28.9 M $1.77 B +$63.4 M $61.22 213
2016 Q1 27.4 M $1.55 B +$6.94 M $56.41 196
2015 Q4 27.7 M $1.38 B +$3.14 M $49.83 183
2015 Q3 28.1 M $1.07 B +$11 M $38.25 171
2015 Q2 27.1 M $1.02 B +$4.63 M $37.59 169
2015 Q1 27.2 M $972 M -$1.27 M $35.72 158
2014 Q4 27 M $888 M -$14.5 M $32.86 152
2014 Q3 27.9 M $784 M +$12.3 M $28.13 147
2014 Q2 27.2 M $844 M +$546 K $30.99 145
2014 Q1 27.1 M $838 M +$38.7 M $30.90 141