At&T Inc. (TPC)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$30.5M
Holdings value Q1 2024
$442M
Value change Q1 2024
-$7.53M
Grand Portfolio weight change Q1 2024
0%
Number of holders
156
Number of Buys Q1 2024
71
Number of Sells Q1 2024
-61
Average Buys Q1 2024 %
+0%
Average Sells Q1 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 30.5M $442M -$7.53M $14.46 156
2023 Q4 33.3M $303M +$12.1M $9.10 146
2023 Q3 32.4M $254M -$3.64M $7.83 138
2023 Q2 33M $236M +$424K $7.15 133
2023 Q1 33.1M $204M +$6.13M $6.17 151
2022 Q4 33.8M $255M +$6.07M $7.55 156
2022 Q3 28.1M $155M +$3.96M $5.52 144
2022 Q2 28M $246M +$4.83M $8.78 144
2022 Q1 33.8M $365M -$26.9K $10.80 156
2021 Q4 34.2M $423M +$4.26M $12.37 152
2021 Q3 32.8M $426M -$3.1M $12.98 145
2021 Q2 34.4M $477M -$9.6M $13.85 159
2021 Q1 35.6M $674M -$10.6M $18.95 160
2020 Q4 37.2M $482M +$6.16M $12.95 158
2020 Q3 37.1M $413M +$938K $11.13 161
2020 Q2 37.8M $460M -$5.3M $12.18 161
2020 Q1 40.4M $272M -$4.07M $6.72 138
2019 Q4 46.6M $599M -$33.7M $12.86 163
2019 Q3 50.1M $717M +$81.1M $14.33 131
2019 Q2 46.6M $646M +$39M $13.87 141
2019 Q1 45.3M $775M +$30.8M $17.12 150
2018 Q4 45.2M $722M +$15.2M $15.97 155
2018 Q3 44.9M $844M +$23.5M $18.80 155
2018 Q2 43.3M $798M +$17.9M $18.45 139
2018 Q1 45.1M $994M +$102M $22.05 167
2017 Q4 41.9M $1.06B +$81.4M $25.35 158
2017 Q3 41.1M $1.17B +$33.2M $28.40 163
2017 Q2 40.5M $1.17B +$33M $28.75 162
2017 Q1 40.2M $1.28B +$124M $31.80 181
2016 Q4 38.8M $1.09B +$86.7M $28.00 165
2016 Q3 40.5M $870M +$33M $21.47 154
2016 Q2 40.7M $958M +$59.1M $23.55 154
2016 Q1 38.3M $595M +$20.7M $15.54 141
2015 Q4 38.7M $648M +$7.52M $16.74 142
2015 Q3 40M $659M +$71M $16.46 139
2015 Q2 36.3M $783M +$37.2M $21.58 154
2015 Q1 35.7M $833M +$66M $23.35 146
2014 Q4 34.5M $830M -$716K $24.07 156
2014 Q3 35.7M $943M +$28.7M $26.40 162
2014 Q2 35.4M $1.12B +$33M $31.74 169
2014 Q1 35.1M $1.01B +$42.1M $28.67 153