Johnson Controls International plc - COM (JCI)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
924
Holdings value Q2 2024
$61.8K
Value change Q2 2024
-$7.54K
Grand Portfolio weight change Q2 2024
0%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
-2
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 924 $61.8K -$7.54K $66.94 2
2024 Q1 4.12K $270K -$16K $65.51 4
2023 Q4 3.6K $208K -$1.79M $57.66 2
2023 Q3 37.6K $2M -$2.53M $53.21 1
2023 Q2 84.1K $5.73M +$5.48M $68.14 3
2023 Q1 3.73K $225K -$5.18M $59.84 2
2022 Q4 84.7K $5.42M +$4.74M $64.00 3
2022 Q3 10.6K $523K -$1.9M $48.91 2
2022 Q2 49.2K $2.36M +$86.2K $48.05 3
2022 Q1 46.3K $3.03M +$1.14M $65.15 4
2021 Q4 28.8K $2.34M -$1.21M $81.18 4
2021 Q3 43.7K $2.97M -$685K $68.39 4
2021 Q2 53.7K $3.69M -$1.12M $68.70 5
2021 Q1 70.1K $4.18M -$3.85M $59.66 5
2020 Q4 140K $6.52M -$7.94M $46.59 5
2020 Q3 311K $12.7M +$343K $40.87 6
2020 Q2 302K $10.3M +$8.01M $34.14 5
2020 Q1 67.9K $1.84M -$17.7M $27.18 4
2019 Q4 726K $29.6M +$23.3M $40.75 7
2019 Q3 154K $6.77M -$1.95M $43.87 7
2019 Q2 199K $8.22M -$372K $41.30 7
2019 Q1 208K $7.7M +$131K $36.90 7
2018 Q4 204K $6.14M -$4M $29.68 7
2018 Q3 341K $11.9M +$1.16M $35.01 8
2018 Q2 309K $10.4M +$3.49M $33.47 9
2018 Q1 204K $7.19M -$32.7M $35.23 11
2017 Q4 1.07M $41M +$2.01M $38.10 16
2017 Q3 1.04M $41.7M -$34.9M $40.29 17
2017 Q2 1.84M $79.8M -$17.2M $43.35 22
2017 Q1 2.24M $94.3M -$31.9M $42.12 30
2016 Q4 3M $124M -$228M $41.19 35
2016 Q3 7.73M $358M -$23.7B $46.53 53
2016 Q2 544M $24B +$788M $44.26 830
2016 Q1 526M $20.5B +$229M $38.97 787
2015 Q4 521M $20.6B -$171M $39.49 827
2015 Q3 523M $21.7B +$105M $41.36 801
2015 Q2 513M $25.4B -$94.9M $49.53 858
2015 Q1 522M $26.3B -$197M $50.44 807
2014 Q4 525M $25.4B -$236M $48.34 809
2014 Q3 530M $23.3B +$324M $44.00 784
2014 Q2 521M $26B +$216M $49.93 783
2014 Q1 514M $24.3B -$434M $47.32 802