Macy's, Inc. - COM (M)

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
210M
Holdings value Q2 2024
$4.04B
Value change Q2 2024
-$175M
Grand Portfolio weight change Q2 2024
0%
Number of holders
397
Number of buys Q2 2024
177
Number of sells Q2 2024
-188
Average buys Q2 2024 %
+0.002%
Average sells Q2 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 210M $4.04B -$175M $19.20 403
2024 Q1 219M $4.37B -$380M $19.99 424
2023 Q4 239M $4.82B +$445M $20.12 401
2023 Q3 220M $2.56B -$159M $11.61 368
2023 Q2 225M $3.62B -$853K $16.05 365
2023 Q1 224M $3.92B +$36.5M $17.49 412
2022 Q4 220M $4.54B +$104M $20.65 424
2022 Q3 213M $3.34B -$224M $15.67 361
2022 Q2 227M $4.16B -$141M $18.32 386
2022 Q1 234M $5.72B -$185M $24.36 421
2021 Q4 244M $6.39B -$1.03B $26.18 407
2021 Q3 281M $6.35B +$311M $22.60 372
2021 Q2 266M $5.05B +$325M $18.96 344
2021 Q1 249M $4.03B -$260M $16.19 333
2020 Q4 263M $2.96B +$110M $11.25 330
2020 Q3 258M $1.47B -$36.2M $5.70 307
2020 Q2 263M $1.81B -$53M $6.88 333
2020 Q1 250M $1.23B -$165M $4.91 389
2019 Q4 285M $4.84B +$81.2M $17.00 459
2019 Q3 277M $4.31B +$270M $15.54 486
2019 Q2 256M $5.5B -$112M $21.46 504
2019 Q1 263M $6.31B -$216M $24.03 536
2018 Q4 278M $8.28B -$79.5M $29.78 607
2018 Q3 277M $9.61B +$107M $34.73 621
2018 Q2 273M $10.2B +$386M $37.43 611
2018 Q1 268M $7.94B +$90.7M $29.74 587
2017 Q4 261M $6.55B +$257M $25.19 567
2017 Q3 251M $5.47B +$17.4M $21.82 517
2017 Q2 250M $5.8B -$248M $23.24 499
2017 Q1 255M $7.55B +$331M $29.64 543
2016 Q4 262M $9.38B -$144M $35.81 621
2016 Q3 266M $9.84B +$265M $37.05 613
2016 Q2 259M $8.69B -$309M $33.61 598
2016 Q1 262M $11.6B -$65.8M $44.09 657
2015 Q4 266M $9.3B -$993M $34.98 629
2015 Q3 275M $14.1B -$852M $51.32 695
2015 Q2 293M $19.8B -$994M $67.47 734
2015 Q1 311M $20.2B +$6.33M $64.91 725
2014 Q4 311M $20.4B -$177M $65.75 727
2014 Q3 314M $18.2B +$204M $58.18 672
2014 Q2 309M $17.9B -$427M $58.02 663
2014 Q1 318M $18.8B +$62.4M $59.29 654