MBIA INC - COM (MBI)

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
29.2M
Holdings value Q2 2024
$161M
Value change Q2 2024
-$12.3M
Grand Portfolio weight change Q2 2024
0%
Number of holders
115
Number of buys Q2 2024
52
Number of sells Q2 2024
-71
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 29.2M $161M -$12.3M $5.49 117
2024 Q1 31.2M $211M +$8.75M $6.76 131
2023 Q4 29.8M $182M +$7.92M $6.12 117
2023 Q3 29.5M $213M -$10.3M $7.21 128
2023 Q2 30.8M $266M -$14.6M $8.64 119
2023 Q1 32.5M $301M +$1.98M $9.26 134
2022 Q4 31.8M $409M -$6.89M $12.85 135
2022 Q3 32M $295M -$7.13M $9.20 122
2022 Q2 33.7M $417M -$29.3M $12.35 120
2022 Q1 35.7M $549M -$1.78M $15.39 115
2021 Q4 35.2M $556M +$2.1M $15.79 110
2021 Q3 35.2M $452M +$8.68M $12.85 103
2021 Q2 35M $386M +$3.65M $11.00 103
2021 Q1 34.9M $336M +$5.92M $9.62 111
2020 Q4 32.3M $212M -$19.4M $6.58 102
2020 Q3 40.5M $245M -$60.4M $6.06 110
2020 Q2 50.1M $363M -$70.3M $7.25 118
2020 Q1 59.9M $427M -$58.7M $7.14 121
2019 Q4 67.2M $625M -$28.6M $9.30 145
2019 Q3 70.2M $648M -$30.5M $9.23 136
2019 Q2 73.5M $684M -$36.4M $9.31 134
2019 Q1 80.5M $767M -$44.1M $9.52 144
2018 Q4 85.4M $762M -$56.5M $8.92 137
2018 Q3 91.6M $980M -$38.3M $10.69 144
2018 Q2 93.8M $848M -$66.1M $9.04 139
2018 Q1 102M $946M -$58.3M $9.26 150
2017 Q4 110M $804M -$97M $7.32 160
2017 Q3 118M $1.03B +$34.8M $8.70 158
2017 Q2 115M $1.09B -$1.06M $9.43 146
2017 Q1 114M $964M -$16.9M $8.47 163
2016 Q4 125M $1.34B +$37.5M $10.70 164
2016 Q3 119M $930M -$8.95M $7.79 154
2016 Q2 123M $837M -$8.41M $6.83 165
2016 Q1 122M $1.08B -$164M $8.85 164
2015 Q4 145M $936M -$70.8M $6.48 163
2015 Q3 145M $882M -$89M $6.08 177
2015 Q2 149M $896M -$56.1M $6.01 193
2015 Q1 165M $1.54B -$29.4M $9.30 191
2014 Q4 166M $1.59B -$47.2M $9.54 199
2014 Q3 172M $1.58B -$37M $9.18 195
2014 Q2 176M $1.94B -$93.4M $11.04 216
2014 Q1 179M $2.5B +$51.1M $13.99 197