SL GREEN REALTY CORP - COM (SLG)

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
102K
Holdings value Q2 2024
$5.76M
Value change Q2 2024
+$5.76M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
1
Number of buys Q2 2024
1
Number of sells Q2 2024
0
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 102K $5.76M +$5.76M $56.64 1
2024 Q1 0 $0 -$4.59M 0
2023 Q4 102K $4.59M $0 $45.17 1
2023 Q3 102K $3.79M $0 $37.30 1
2023 Q2 102K $3.05M +$3.05M $30.05 1
2023 Q1 0 $0 -$700K 0
2022 Q4 20.7K $700K -$184K $33.72 1
2022 Q3 26.2K $1.05M -$1.9M $40.15 1
2022 Q2 67.6K $3.12M -$759K $46.13 3
2022 Q1 63.7K $5.16M +$1.73M $81.17 3
2021 Q4 54.9K $3.94M -$77.4M $71.71 4
2021 Q3 1.15M $81.3M -$3.75M $70.88 5
2021 Q2 1.2M $96M -$24.2M $80.00 7
2021 Q1 1.7M $119M -$3.41B $69.99 19
2020 Q4 58.9M $3.52B -$664M $59.58 262
2020 Q3 72.2M $3.35B -$15.9M $46.37 272
2020 Q2 73.1M $3.6B -$190M $49.29 307
2020 Q1 75.8M $3.27B -$159M $43.10 303
2019 Q4 75.3M $6.92B -$205M $91.88 337
2019 Q3 76.8M $6.28B -$44M $81.75 328
2019 Q2 77.3M $6.22B +$148M $80.37 321
2019 Q1 82.7M $7.44B -$26M $89.92 358
2018 Q4 82.6M $6.54B -$326M $79.08 357
2018 Q3 86.6M $8.44B -$315M $97.53 360
2018 Q2 89.8M $9.03B -$71.6M $100.53 357
2018 Q1 93.2M $9.02B -$90.4M $96.83 331
2017 Q4 93.8M $9.46B -$759M $100.93 350
2017 Q3 101M $10.3B -$311M $101.32 316
2017 Q2 105M $11.1B -$237M $105.80 329
2017 Q1 107M $11.4B +$926M $106.62 336
2016 Q4 107M $11.5B +$48.7M $107.55 346
2016 Q3 108M $11.7B +$55M $108.10 355
2016 Q2 108M $11.5B +$141M $106.47 344
2016 Q1 106M $10.2B -$148M $96.88 339
2015 Q4 106M $12B -$479M $112.98 332
2015 Q3 111M $12B +$513M $108.16 304
2015 Q2 105M $11.5B -$98M $109.89 333
2015 Q1 119M $15.3B +$767M $128.38 319
2014 Q4 101M $12.1B -$47.8M $119.02 302
2014 Q3 102M $10.3B +$110M $101.32 293
2014 Q2 101M $11B -$628M $109.41 285
2014 Q1 102M $10.2B +$173M $100.62 270