NOV Inc. - COM (NOV)

Historical Portfolio Holders from Q1 2016 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
366M
Holdings value Q2 2024
$6.96B
Value change Q2 2024
+$30.1M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
384
Number of buys Q2 2024
181
Number of sells Q2 2024
-173
Average buys Q2 2024 %
+0.001%
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 366M $6.96B +$30.1M $19.01 386
2024 Q1 364M $7.11B -$79M $19.52 393
2023 Q4 367M $7.45B +$60.4M $20.28 382
2023 Q3 364M $7.61B -$20.8M $20.90 352
2023 Q2 360M $5.77B +$37.3M $16.04 346
2023 Q1 365M $6.76B +$16.7M $18.51 384
2022 Q4 358M $7.47B -$111M $20.89 373
2022 Q3 366M $5.92B -$56.5M $16.18 312
2022 Q2 371M $6.28B +$14.8M $16.91 321
2022 Q1 370M $7.26B +$321M $19.61 316
2021 Q4 356M $4.83B -$5.85M $13.55 319
2021 Q3 354M $4.64B -$2.27M $13.11 328
2021 Q2 354M $5.42B +$141M $15.32 351
2021 Q1 347M $4.76B +$4.52B $13.72 331
2020 Q4 17.8M $244M +$244M $13.73 32
2020 Q3 1.83K $19.9K $0 $9.06 4
2020 Q2 1.83K $24K -$2.11K $12.25 4
2020 Q1 2K $22.6K -$3.63K $9.83 4
2019 Q4 2.37K $54.3K -$27K $25.05 4
2019 Q3 3.45K $70K -$5.94K $21.20 4
2019 Q2 3.73K $79.3K -$42.6K $22.23 4
2019 Q1 5.64K $144K -$23K $26.64 4
2018 Q4 5.99K $154K +$11.3K $25.70 3
2018 Q3 5.55K $239K $0 $43.08 3
2018 Q2 5.55K $241K $0 $43.40 3
2018 Q1 5.55K $204K -$129K $36.81 3
2017 Q4 9.05K $326K -$13.1K $36.02 3
2017 Q3 9.41K $336K -$22.5K $35.73 3
2017 Q2 10.1K $332K -$6.49K $32.94 4
2017 Q1 10.3K $412K -$1.84K $40.09 3
2016 Q4 10.3K $386K -$14.2K $37.44 3
2016 Q3 9.01K $331K -$34K $36.74 2
2016 Q2 9.94K $334K -$84.1K $33.65 2
2016 Q1 12.4K $387K $0 $31.10 2