TELENOR AS - Common Stock (TELNY)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / Common Stock
Shares, excl. options Q1 2024
95.2 K
Holdings value Q1 2024
$1.07 M
Value change Q1 2024
-$16.3 K
Grand Portfolio weight change Q1 2024
0%
Number of holders
8
Number of buys Q1 2024
0
Number of sells Q1 2024
-3
Average buys Q1 2024 %
0
Average sells Q1 2024 %
0%
CUSIP
87944W105
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 95.2 K $1.07 M -$16.3 K $11.14 8
2023 Q4 96.6 K $1.11 M +$255 K $11.49 8
2023 Q3 67.4 K $764 K -$4.82 K $11.34 7
2023 Q2 67.8 K $684 K +$323 K $10.09 7
2023 Q1 35.4 K $416 K +$24.8 K $11.75 7
2022 Q4 33.2 K $309 K -$63.3 K $9.29 5
2022 Q3 39.9 K $367 K -$54.8 K $9.19 4
2022 Q2 43.4 K $576 K +$87.1 K $13.28 8
2022 Q1 36.9 K $536 K +$42.7 K $14.59 6
2021 Q4 34 K $532 K -$378 K $15.68 6
2021 Q3 34.5 K $583 K +$68 K $16.87 7
2021 Q2 30.5 K $515 K -$14.2 M $16.88 4
2021 Q1 835 K $14.8 M +$220 K $17.65 5
2020 Q4 822 K $14 M +$4.71 M $17.07 4
2020 Q3 545 K $9.16 M -$3.45 M $16.73 5
2020 Q2 750 K $10.9 M -$391 K $14.69 4
2020 Q1 777 K $11.3 M +$1.65 M $14.54 5
2019 Q4 666 K $11.9 M +$1.46 M $17.90 7
2019 Q3 584 K $11.8 M -$28.9 K $19.95 6
2019 Q2 585 K $12.4 M +$1.3 M $21.25 6
2019 Q1 525 K $10.4 M +$1.28 M $19.84 7
2018 Q4 460 K $8.91 M +$601 K $19.33 7
2018 Q3 429 K $8.36 M -$668 K $19.52 6
2018 Q2 464 K $9.51 M +$322 K $20.23 6
2018 Q1 447 K $10.2 M -$177 K $22.55 8
2017 Q4 454 K $9.73 M -$160 K $21.44 7
2017 Q3 460 K $9.73 M +$742 K $21.16 8
2017 Q2 427 K $7.05 M -$586 K $16.52 8
2017 Q1 462 K $7.69 M -$3.55 M $16.63 7
2016 Q4 708 K $10.6 M +$2.47 M $14.92 9
2016 Q3 534 K $9.15 M +$169 K $17.11 10
2016 Q2 525 K $8.67 M +$715 K $16.45 12
2015 Q4 306 K $15.3 M +$6.5 M $49.80 13
2015 Q3 168 K $9.38 M -$626 K $55.90 13
2015 Q1 298 K $18 M -$1.42 M $60.58 15
2014 Q4 321 K $19.5 M -$11.6 M $60.62 14
2014 Q3 467 K $30.7 M -$159 K $65.83 18
2014 Q2 469 K $32 M +$5.43 M $68.30 18
2014 Q1 390 K $26 M +$2.58 M $66.50 16