MACERICH CO - COM (MAC)

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
200M
Holdings value Q2 2024
$3.1B
Value change Q2 2024
+$121M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
269
Number of buys Q2 2024
131
Number of sells Q2 2024
-135
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 200M $3.1B +$121M $15.44 271
2024 Q1 192M $3.3B +$75.5M $17.23 276
2023 Q4 188M $2.9B -$90.4M $15.43 266
2023 Q3 194M $2.12B +$1.08M $10.91 262
2023 Q2 194M $2.19B +$149M $11.27 245
2023 Q1 178M $1.89B +$53.8M $10.60 255
2022 Q4 173M $1.95B +$14.1M $11.26 271
2022 Q3 172M $1.37B -$30.2M $7.94 256
2022 Q2 179M $1.56B -$104M $8.71 273
2022 Q1 185M $2.89B +$63.1M $15.64 285
2021 Q4 182M $3.14B +$155M $17.28 299
2021 Q3 171M $2.86B +$233M $16.71 282
2021 Q2 157M $2.87B +$432M $18.25 272
2021 Q1 137M $1.6B +$95.9M $11.70 280
2020 Q4 131M $1.39B +$69.8M $10.67 249
2020 Q3 127M $862M -$44.8M $6.79 242
2020 Q2 131M $1.18B +$111M $8.97 242
2020 Q1 127M $713M -$273M $5.63 240
2019 Q4 151M $4.06B -$203M $26.92 303
2019 Q3 158M $5B +$204M $31.59 303
2019 Q2 152M $5.11B +$423M $33.49 305
2019 Q1 142M $6.14B +$214M $43.35 321
2018 Q4 137M $5.94B -$78.1M $43.28 314
2018 Q3 137M $7.55B +$29.8M $55.29 347
2018 Q2 135M $7.7B +$121M $56.83 357
2018 Q1 135M $7.59B -$8.45M $56.02 325
2017 Q4 137M $9.02B +$167M $65.68 344
2017 Q3 132M $7.27B +$17.1M $54.97 315
2017 Q2 135M $7.82B -$5.65M $58.06 315
2017 Q1 136M $8.73B +$1.02B $64.40 309
2016 Q4 132M $9.33B +$45.6M $70.84 336
2016 Q3 134M $10.9B -$233M $80.87 345
2016 Q2 137M $11.7B -$498M $85.39 346
2016 Q1 143M $11.3B -$1.03B $79.24 344
2015 Q4 156M $12.6B -$366M $80.69 328
2015 Q3 155M $11.9B +$241M $76.82 321
2015 Q2 159M $11.9B +$638M $74.60 334
2015 Q1 161M $13.6B -$444M $84.33 342
2014 Q4 155M $13B +$1.44B $83.41 320
2014 Q3 141M $9.02B -$304M $63.83 299
2014 Q2 139M $9.27B +$61.8M $66.75 288
2014 Q1 145M $9.06B -$43.9M $62.33 297