MOLSON COORS BEVERAGE CO - CL B (TAP)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL B
Shares, excl. options Q2 2024
167M
Holdings value Q2 2024
$8.46B
Value change Q2 2024
-$132M
Grand Portfolio weight change Q2 2024
0%
Number of holders
621
Number of buys Q2 2024
323
Number of sells Q2 2024
-321
Average buys Q2 2024 %
+0.004%
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 167M $8.46B -$132M $50.83 628
2024 Q1 167M $11.3B +$19.7M $67.25 660
2023 Q4 169M $10.3B +$356M $61.21 658
2023 Q3 163M $10.3B +$23.7M $63.59 631
2023 Q2 159M $10.5B -$461M $65.84 629
2023 Q1 168M $8.71B +$102M $51.68 581
2022 Q4 169M $8.68B +$77.9M $51.52 576
2022 Q3 165M $7.93B -$240M $47.99 548
2022 Q2 172M $9.35B +$93.9M $54.51 557
2022 Q1 171M $9.13B -$138M $53.38 538
2021 Q4 174M $8.05B -$136M $46.35 513
2021 Q3 176M $8.17B -$58.7M $46.38 497
2021 Q2 177M $9.48B -$34.9M $53.69 515
2021 Q1 177M $9.06B +$128M $51.15 498
2020 Q4 172M $7.76B +$346M $45.19 497
2020 Q3 168M $5.65B +$206M $33.56 446
2020 Q2 162M $5.57B -$417M $34.36 460
2020 Q1 165M $6.46B +$67M $39.01 472
2019 Q4 171M $9.2B +$68M $53.90 527
2019 Q3 168M $9.68B +$220M $57.50 499
2019 Q2 160M $8.97B +$29.4M $56.00 510
2019 Q1 168M $9.99B +$157M $59.65 572
2018 Q4 164M $9.2B +$11.3M $56.16 568
2018 Q3 165M $10.2B -$175M $61.50 553
2018 Q2 167M $11.3B +$64.7M $68.04 529
2018 Q1 154M $11.6B -$15M $75.33 517
2017 Q4 168M $13.8B -$192M $82.07 510
2017 Q3 169M $13.8B -$107M $81.64 494
2017 Q2 171M $14.7B +$347M $86.34 493
2017 Q1 165M $15.8B +$984M $95.71 526
2016 Q4 155M $15.1B -$336M $97.31 520
2016 Q3 170M $18.6B +$138M $109.80 522
2016 Q2 167M $16.9B -$253M $101.13 514
2016 Q1 170M $16.3B +$2.94B $96.18 488
2015 Q4 140M $13.1B +$339M $93.92 494
2015 Q3 134M $11.1B +$271M $83.02 498
2015 Q2 131M $9.16B -$13.5M $69.81 499
2015 Q1 133M $9.92B +$118M $74.45 520
2014 Q4 132M $9.82B -$72.7M $74.52 532
2014 Q3 132M $9.86B -$109M $74.44 503
2014 Q2 134M $9.94B -$35.3M $74.16 486
2014 Q1 133M $7.82B -$36.1M $58.86 433