NUCOR CORP - COM (NUE)

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
184M
Holdings value Q2 2024
$29B
Value change Q2 2024
+$90.6M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
1195
Number of buys Q2 2024
500
Number of sells Q2 2024
-595
Average buys Q2 2024 %
+0.005%
Average sells Q2 2024 %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 184M $29B +$90.6M $158.08 1,204
2024 Q1 181M $35.8B -$1.21B $197.90 1,266
2023 Q4 189M $32.9B -$28M $174.04 1,218
2023 Q3 190M $29.7B -$621M $156.35 1,134
2023 Q2 192M $31.4B -$1.13B $163.98 1,150
2023 Q1 198M $30.6B -$459M $154.47 1,155
2022 Q4 199M $26.3B +$31.8M $131.81 1,095
2022 Q3 199M $21.3B -$405M $106.99 1,011
2022 Q2 204M $21.3B -$184M $104.41 1,024
2022 Q1 208M $30.9B -$694M $148.65 1,072
2021 Q4 207M $23.6B -$602M $114.15 1,026
2021 Q3 220M $21.7B -$991M $98.49 933
2021 Q2 230M $22.1B -$101M $95.93 918
2021 Q1 231M $18.6B -$359M $80.27 826
2020 Q4 213M $11.3B +$120M $53.19 740
2020 Q3 212M $9.53B +$75.1M $44.86 664
2020 Q2 229M $9.5B +$129M $41.41 632
2020 Q1 224M $8.08B -$393M $36.02 630
2019 Q4 215M $12.1B -$80.2M $56.28 739
2019 Q3 217M $11.1B +$125M $50.91 726
2019 Q2 236M $13B +$355M $55.10 739
2019 Q1 233M $13.6B -$235M $58.35 804
2018 Q4 238M $12.4B -$349M $51.81 771
2018 Q3 245M $15.5B -$279M $63.45 797
2018 Q2 249M $15.6B +$103M $62.50 791
2018 Q1 251M $15.4B -$169M $61.09 780
2017 Q4 255M $16.2B +$495M $63.58 749
2017 Q3 245M $13.7B -$155M $56.04 692
2017 Q2 248M $14.4B -$223M $57.87 718
2017 Q1 253M $15.1B +$1.14B $59.72 714
2016 Q4 254M $15.1B +$9.79M $59.52 701
2016 Q3 253M $12.5B +$1.09M $49.45 625
2016 Q2 253M $12.5B +$132M $49.41 650
2016 Q1 245M $11.6B -$21.5M $47.30 619
2015 Q4 251M $10.1B +$105M $40.30 596
2015 Q3 246M $9.24B -$242M $37.55 588
2015 Q2 248M $10.9B +$55.9M $44.07 604
2015 Q1 251M $11.9B +$67.3M $47.53 591
2014 Q4 251M $12.3B -$114M $49.05 629
2014 Q3 252M $13.7B +$208M $54.28 598
2014 Q2 248M $12.2B +$25.5M $49.25 590
2014 Q1 246M $12.4B +$66.6M $50.54 570