WestRock Co - COM (WRK)

Historical Portfolio Holders from Q2 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
204 M
Holdings value Q1 2024
$10.1 B
Value change Q1 2024
-$160 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
560
Number of buys Q1 2024
222
Number of sells Q1 2024
-295
Average buys Q1 2024 %
+0.004%
Average sells Q1 2024 %
-0.003%
CUSIP
96145D105
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 204 M $10.1 B -$160 M $49.45 560
2023 Q4 208 M $8.61 B -$287 M $41.52 588
2023 Q3 212 M $7.6 B -$58.6 M $35.80 569
2023 Q2 213 M $6.19 B -$27.5 M $29.07 551
2023 Q1 210 M $6.4 B +$78.6 M $30.47 542
2022 Q4 214 M $7.52 B -$8.19 M $35.16 581
2022 Q3 212 M $6.56 B +$16.2 M $30.89 535
2022 Q2 215 M $8.56 B -$213 M $39.84 567
2022 Q1 218 M $10.3 B -$3.39 M $47.03 600
2021 Q4 221 M $9.78 B -$362 M $44.36 573
2021 Q3 228 M $11.4 B +$241 M $49.83 563
2021 Q2 221 M $11.7 B +$79.7 M $53.22 591
2021 Q1 221 M $11.5 B +$480 M $52.05 568
2020 Q4 213 M $9.25 B +$79.2 M $43.53 579
2020 Q3 200 M $6.95 B -$14 M $34.74 512
2020 Q2 207 M $5.84 B +$62.9 M $28.26 512
2020 Q1 202 M $5.71 B -$143 M $28.26 522
2019 Q4 210 M $9.03 B +$45.3 M $42.91 578
2019 Q3 210 M $7.66 B -$115 M $36.45 516
2019 Q2 213 M $7.77 B +$77.8 M $36.47 518
2019 Q1 217 M $8.32 B -$221 M $38.35 533
2018 Q4 222 M $8.4 B +$151 M $37.76 560
2018 Q3 212 M $11.3 B -$175 M $53.44 595
2018 Q2 217 M $12.4 B -$167 M $57.02 601
2018 Q1 207 M $13.3 B +$48.4 M $64.17 584
2017 Q4 225 M $14.2 B +$26.5 M $63.21 547
2017 Q3 210 M $11.9 B +$180 M $56.73 521
2017 Q2 224 M $12.7 B +$217 M $56.66 495
2017 Q1 222 M $11.5 B +$1.14 B $52.03 493
2016 Q4 221 M $11.2 B -$112 M $50.77 486
2016 Q3 226 M $10.9 B -$61.1 M $48.48 475
2016 Q2 228 M $8.85 B +$130 M $38.87 448
2016 Q1 222 M $8.66 B -$35.7 M $39.03 440
2015 Q4 226 M $10.3 B +$139 M $45.62 466
2015 Q3 211 M $10.9 B +$10.3 B $51.44 474
2015 Q2 7.98 M $488 M +$488 M $60.90 17