Aon plc - SHS CL A (AON)

Historical Portfolio Holders from Q1 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / SHS CL A
Shares, excl. options Q1 2024
161 M
Holdings value Q1 2024
$53.6 B
Value change Q1 2024
-$391 M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1035
Number of buys Q1 2024
454
Number of sells Q1 2024
-493
Average buys Q1 2024 %
+0.021%
Average sells Q1 2024 %
-0.007%
CUSIP
G0403H108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 161 M $53.6 B -$391 M $333.72 1,035
2023 Q4 164 M $47.7 B -$693 M $291.02 1,024
2023 Q3 172 M $55.7 B -$1.09 B $324.22 1,017
2023 Q2 172 M $59.3 B -$40.3 M $345.20 1,000
2023 Q1 175 M $55.2 B +$492 M $315.29 982
2022 Q4 174 M $52.1 B -$1.27 B $300.14 1,002
2022 Q3 177 M $47.4 B -$895 M $267.87 909
2022 Q2 180 M $48.5 B -$909 M $269.68 917
2022 Q1 185 M $60.2 B +$175 M $325.63 946
2021 Q4 184 M $55.3 B -$3.35 B $300.56 957
2021 Q3 198 M $56.6 B -$6.39 B $285.77 882
2021 Q2 221 M $52.9 B +$380 M $238.76 876
2021 Q1 219 M $50.4 B -$93.1 M $230.11 874
2020 Q4 220 M $46.3 B +$359 M $211.27 819
2020 Q3 219 M $45.2 B +$1.52 B $206.30 759
2020 Q2 211 M $40.5 B +$35.3 B $192.60 694
2020 Q1 27.3 M $4.5 B +$4.5 B $165.04 90
2019 Q4 701 $146 K $0 $208.29 3
2019 Q3 701 $136 K +$19.4 K $193.57 3
2019 Q2 601 $116 K +$772 $192.98 2
2019 Q1 597 $102 K +$1.37 K $170.70 2
2018 Q4 589 $85.6 K -$12 K $145.36 2
2018 Q3 664 $103 K +$12 K $153.78 3
2018 Q2 589 $80.8 K $0 $137.17 2
2018 Q1 589 $82.7 K $0 $140.33 2
2017 Q4 589 $78.9 K $0 $134.00 2
2017 Q3 589 $86.1 K $0 $146.10 2
2017 Q2 589 $78.3 K $0 $132.95 2
2017 Q1 589 $69.9 K $0 $118.69 2
2016 Q4 589 $65.7 K $0 $111.53 2
2016 Q3 76 $8.55 K $0 $112.49 1
2016 Q2 76 $8.3 K $0 $109.22 1
2016 Q1 76 $7.94 K $0 $104.45 1