MEDICAL PROPERTIES TRUST INC - COM (MPW)

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
384M
Holdings value Q2 2024
$1.66B
Value change Q2 2024
-$188M
Grand Portfolio weight change Q2 2024
0%
Number of holders
488
Number of buys Q2 2024
227
Number of sells Q2 2024
-258
Average buys Q2 2024 %
+0%
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 384M $1.66B -$188M $4.31 499
2024 Q1 424M $1.99B -$30.6M $4.70 508
2023 Q4 429M $2.11B -$119M $4.91 526
2023 Q3 448M $2.44B -$76.2M $5.45 525
2023 Q2 457M $4.24B +$89.2M $9.26 584
2023 Q1 436M $3.59B -$218M $8.22 605
2022 Q4 462M $5.15B -$29.8M $11.14 618
2022 Q3 477M $5.67B -$27.5M $11.86 567
2022 Q2 476M $7.29B +$17M $15.27 572
2022 Q1 477M $10.1B -$177M $21.14 582
2021 Q4 480M $11.3B +$74.2M $23.63 610
2021 Q3 484M $9.73B +$190M $20.07 547
2021 Q2 474M $9.53B -$60.1M $20.10 544
2021 Q1 477M $10.1B +$767M $21.28 537
2020 Q4 439M $9.58B +$154M $21.79 522
2020 Q3 432M $7.62B -$272M $17.63 499
2020 Q2 437M $8.22B +$163M $18.80 479
2020 Q1 437M $7.56B +$46.6M $17.29 479
2019 Q4 434M $9.16B +$1.33B $21.11 499
2019 Q3 371M $7.26B +$1.04B $19.56 440
2019 Q2 319M $5.57B +$90.3M $17.44 428
2019 Q1 319M $5.9B +$523M $18.51 457
2018 Q4 291M $4.69B +$140M $16.08 413
2018 Q3 282M $4.21B -$16.5M $14.91 365
2018 Q2 285M $4B -$19.2M $14.04 360
2018 Q1 290M $3.76B -$77M $13.00 366
2017 Q4 295M $4.06B -$62.7M $13.78 357
2017 Q3 299M $3.93B -$109M $13.13 328
2017 Q2 305M $3.92B +$336M $12.87 338
2017 Q1 288M $3.72B +$428M $12.89 317
2016 Q4 292M $3.6B +$338M $12.30 329
2016 Q3 264M $3.89B +$937M $14.77 336
2016 Q2 200M $3.05B +$79.8M $15.21 307
2016 Q1 195M $2.53B +$79M $12.98 281
2015 Q4 189M $2.17B -$61.3M $11.51 291
2015 Q3 194M $2.15B +$255M $11.06 278
2015 Q2 164M $2.15B +$15.9M $13.11 275
2015 Q1 168M $2.48B +$438M $14.74 268
2014 Q4 138M $1.9B +$87M $13.78 250
2014 Q3 132M $1.62B +$24M $12.26 245
2014 Q2 130M $1.72B -$62.9M $13.24 232
2014 Q1 132M $1.69B +$115M $12.79 243