NEWMONT Corp /DE/ (NEM)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$752M
Holdings value Q1 2024
$27B
Value change Q1 2024
-$931M
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
1123
Number of Buys Q1 2024
501
Number of Sells Q1 2024
-482
Average Buys Q1 2024 %
+0.012%
Average Sells Q1 2024 %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 752M $27B -$931M $35.84 1,058
2023 Q4 777M $32.1B +$6.43B $41.39 1,121
2023 Q3 630M $23.3B +$24.2M $36.95 1,024
2023 Q2 616M $26.3B +$1.07B $42.66 1,070
2023 Q1 593M $29.1B +$447M $49.02 1,093
2022 Q4 613M $29B +$2.59M $47.20 1,089
2022 Q3 612M $25.7B +$690M $42.03 1,026
2022 Q2 641M $38.2B +$1.1B $59.67 1,094
2022 Q1 631M $50.1B +$1.35B $79.45 1,166
2021 Q4 613M $37.9B +$426M $62.02 1,100
2021 Q3 611M $33.1B -$315M $54.30 1,032
2021 Q2 626M $39.6B -$195M $63.38 1,069
2021 Q1 530M $31.9B +$605M $60.27 1,021
2020 Q4 530M $31.7B -$47M $59.89 1,003
2020 Q3 544M $34.5B -$362M $63.45 975
2020 Q2 549M $33.9B +$212M $61.74 937
2020 Q1 652M $29.6B -$126M $45.28 812
2019 Q4 659M $28.6B -$191M $43.45 764
2019 Q3 652M $24.7B +$440M $37.92 744
2019 Q2 530M $20.3B +$5.62B $38.47 747
2019 Q1 412M $14.7B +$1.48B $35.77 659
2018 Q4 377M $13B +$352M $34.65 632
2018 Q3 371M $11.2B +$134M $30.20 616
2018 Q2 370M $13.9B +$337M $37.71 648
2018 Q1 355M $13.8B +$421M $39.07 651
2017 Q4 350M $13.1B +$117M $37.52 652
2017 Q3 353M $13.3B +$109M $37.51 609
2017 Q2 361M $11.7B +$308M $32.39 595
2017 Q1 364M $12B -$107M $32.96 611
2016 Q4 431M $14.7B +$533M $34.07 628
2016 Q3 410M $16.1B +$422M $39.29 654
2016 Q2 407M $15.9B +$698M $39.12 632
2016 Q1 388M $10.3B +$397M $26.58 595
2015 Q4 399M $7.18B +$75.9M $17.99 544
2015 Q3 397M $6.38B +$191M $16.07 553
2015 Q2 407M $9.5B +$829M $23.36 582
2015 Q1 383M $8.33B +$108M $21.71 575
2014 Q4 362M $6.85B +$381M $18.90 579
2014 Q3 370M $8.52B +$372M $23.05 619
2014 Q2 349M $8.89B +$180M $25.44 637
2014 Q1 356M $8.34B +$109M $23.44 638