MPLX LP - COM UNIT REP LTD (MPLX)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM UNIT REP LTD
Shares, excl. options Q2 2024
238M
Holdings value Q2 2024
$10.1B
Value change Q2 2024
+$338M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
484
Number of buys Q2 2024
234
Number of sells Q2 2024
-122
Average buys Q2 2024 %
+0.002%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 238M $10.1B +$338M $42.59 487
2024 Q1 226M $9.32B +$47.9M $41.56 477
2023 Q4 222M $8.15B -$271M $36.72 436
2023 Q3 230M $8.18B +$158M $35.57 391
2023 Q2 224M $7.62B -$210M $33.94 362
2023 Q1 230M $7.91B +$195M $34.45 373
2022 Q4 224M $7.36B -$170M $32.84 349
2022 Q3 232M $6.97B -$194M $30.01 336
2022 Q2 239M $6.97B -$214M $29.15 336
2022 Q1 247M $8.2B -$207M $33.18 345
2021 Q4 253M $7.48B -$388M $29.59 338
2021 Q3 264M $7.51B -$380M $28.47 307
2021 Q2 277M $8.2B -$265M $29.61 298
2021 Q1 286M $7.34B -$300M $25.63 303
2020 Q4 298M $6.45B -$72M $21.65 288
2020 Q3 291M $4.59B -$43.3M $15.74 270
2020 Q2 305M $5.28B +$489M $17.28 271
2020 Q1 302M $3.5B -$176M $11.62 281
2019 Q4 325M $8.27B -$281M $25.46 321
2019 Q3 335M $9.37B +$2.15B $28.01 331
2019 Q2 244M $7.84B +$291M $32.19 325
2019 Q1 245M $8.06B -$51.4M $32.89 318
2018 Q4 248M $7.5B +$26.5M $30.30 322
2018 Q3 246M $8.54B +$19.8M $34.68 319
2018 Q2 247M $8.45B +$330M $34.14 318
2018 Q1 238M $7.86B -$827M $33.04 315
2017 Q4 253M $8.97B +$256M $35.47 304
2017 Q3 265M $9.29B +$293M $35.01 293
2017 Q2 257M $8.59B +$354M $33.40 307
2017 Q1 246M $8.85B +$36M $36.08 307
2016 Q4 247M $8.53B +$480M $34.62 290
2016 Q3 232M $7.87B +$708M $33.86 277
2016 Q2 210M $7.08B +$85.5M $33.63 275
2016 Q1 207M $6.16B +$243M $29.69 265
2015 Q4 198M $7.72B +$6.1B $39.33 299
2015 Q3 24.8M $946M +$93.2M $38.21 114
2015 Q2 21.7M $1.55B +$13.7M $71.38 113
2015 Q1 21.8M $1.59B +$12.6M $73.26 106
2014 Q4 21.2M $1.56B +$205M $73.49 104
2014 Q3 18.4M $1.08B -$16.3M $58.94 83
2014 Q2 18.7M $1.2B -$23.6M $64.50 79
2014 Q1 19.2M $943M +$17.8M $48.99 74