Westlake Corp (WLK)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$33.1M
Holdings value Q1 2024
$5.06B
Value change Q1 2024
-$215M
Grand Portfolio weight change Q1 2024
0%
Number of holders
376
Number of Buys Q1 2024
151
Number of Sells Q1 2024
-166
Average Buys Q1 2024 %
+0.003%
Average Sells Q1 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 33.1M $5.06B -$215M $152.80 335
2023 Q4 35.5M $4.96B -$89.5M $139.96 352
2023 Q3 36.5M $4.55B +$26.9M $124.67 330
2023 Q2 36.1M $4.31B -$99.6M $119.47 338
2023 Q1 36.7M $4.25B +$248M $115.98 334
2022 Q4 35.9M $3.68B +$332M $102.54 343
2022 Q3 34.4M $2.99B +$29.6M $86.88 310
2022 Q2 34.7M $3.39B +$166M $98.02 339
2022 Q1 35M $4.32B +$196M $123.40 316
2021 Q4 34.3M $3.33B +$98.8M $97.13 288
2021 Q3 34.2M $3.12B +$379M $91.14 263
2021 Q2 33.3M $3B -$59.9M $90.09 270
2021 Q1 34.3M $3.05B +$164M $88.79 231
2020 Q4 33.3M $2.71B -$96M $81.60 218
2020 Q3 34.8M $2.2B -$54.8M $63.22 199
2020 Q2 36.1M $1.93B +$70.3M $53.65 210
2020 Q1 35.5M $1.35B +$47.8M $38.17 212
2019 Q4 37.3M $2.62B -$80.1M $70.15 249
2019 Q3 39M $2.55B +$12.7M $65.52 246
2019 Q2 39.9M $2.77B +$510M $69.46 275
2019 Q1 36.3M $2.47B +$100M $67.86 306
2018 Q4 35.6M $2.36B -$66.3M $66.17 301
2018 Q3 38M $3.16B +$71M $83.11 320
2018 Q2 39.7M $4.27B +$399M $107.63 335
2018 Q1 39M $4.33B +$55.6M $111.15 337
2017 Q4 39.2M $4.17B +$198M $106.53 302
2017 Q3 40.2M $3.34B +$7.88M $83.09 253
2017 Q2 41.7M $2.76B +$306M $66.21 228
2017 Q1 39.4M $2.6B +$231M $66.05 229
2016 Q4 38.9M $2.18B +$101M $55.99 234
2016 Q3 38.1M $2.04B +$91.9M $53.50 233
2016 Q2 38.2M $1.64B +$132M $42.92 244
2016 Q1 38.4M $1.78B +$298M $46.30 279
2015 Q4 35.5M $1.93B -$70M $54.32 278
2015 Q3 37.3M $1.93B +$88.8M $51.89 256
2015 Q2 37.1M $2.55B +$53.6M $68.59 277
2015 Q1 39M $2.8B +$180M $71.94 280
2014 Q4 37.8M $2.31B +$192M $61.09 287
2014 Q3 37.7M $3.26B -$23.7M $86.59 295
2014 Q2 38.4M $3.22B +$159M $83.76 279
2014 Q1 38.3M $2.54B +$1.28B $66.18 254