Lumen Technologies, Inc. - COM (LUMN)

Historical Portfolio Holders from Q1 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
648 M
Holdings value Q1 2024
$1.01 B
Value change Q1 2024
-$12 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
445
Number of buys Q1 2024
162
Number of sells Q1 2024
-198
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
550241103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 648 M $1.01 B -$12 M $1.56 445
2023 Q4 654 M $1.2 B +$10.3 M $1.83 463
2023 Q3 663 M $942 M -$72.1 M $1.42 478
2023 Q2 696 M $1.57 B -$92.6 M $2.26 531
2023 Q1 717 M $1.9 B -$474 M $2.65 611
2022 Q4 794 M $4.15 B -$97 M $5.22 710
2022 Q3 814 M $5.92 B +$1.86 M $7.28 696
2022 Q2 795 M $8.67 B +$211 M $10.91 725
2022 Q1 675 M $7.61 B -$207 M $11.27 695
2021 Q4 713 M $8.94 B -$105 M $12.55 715
2021 Q3 710 M $8.79 B -$240 M $12.39 648
2021 Q2 737 M $10 B +$257 M $13.59 656
2021 Q1 719 M $9.6 B +$9.23 B $13.35 627
2020 Q4 27.3 M $266 M +$229 M $9.75 58
2020 Q3 72.4 K $730 K +$412 K $10.09 3
2020 Q2 31.6 K $317 K +$158 K $10.03 2
2020 Q1 15.9 K $150 K +$139 K $9.46 3
2019 Q4 1.19 K $15.7 K +$14.6 K $13.21 3
2019 Q3 82 $1.02 K $0 $12.47 2
2019 Q2 82 $964 -$905 $11.76 2
2019 Q1 159 $1.91 K -$299 K $11.99 1
2018 Q4 20.5 K $310 K -$2.83 K $15.15 2
2018 Q3 20.7 K $438 K -$5.24 K $21.20 2
2018 Q2 20.9 K $390 K +$19.4 K $18.64 2
2018 Q1 19.9 K $327 K +$275 K $16.43 3
2017 Q4 3.14 K $52.4 K +$44.1 K $16.68 2
2017 Q3 490 $9.26 K -$1.13 K $18.90 3
2017 Q2 550 $13.1 K +$1.6 K $23.88 3
2017 Q1 483 $11.4 K -$5.94 K $23.57 3
2016 Q4 735 $17.5 K -$214 $23.78 3
2016 Q3 610 $16.7 K +$13.7 K $27.43 2
2016 Q2 110 $3.19 K $0 $29.01 1
2016 Q1 110 $3.52 K $0 $31.96 1