Black Stone Minerals, L.P. - COM UNIT (BSM)

Historical Holders from Q2 2015 to Q1 2025

Symbol
BSM on NYSE
CUSIP
09225M101
Type / Class
Equity / COM UNIT
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
33.3M
Holdings value
$486M
% of all portfolios
0.005%
Grand Portfolio weight change
+0%
Number of holders
179
Number of buys
74
Number of sells
-51
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Black Stone Minerals, L.P. - COM UNIT (BSM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 7.35M $112M -$1.06M $15.27 27
2024 Q4 33.3M $486M +$32.9M $14.60 179
2024 Q3 30.9M $467M -$7.89M $15.10 177
2024 Q2 31.5M $493M +$30.2M $15.67 183
2024 Q1 29.6M $473M -$16.3M $15.98 182
2023 Q4 30.5M $487M +$4.55M $15.96 193
2023 Q3 29.5M $508M +$769K $17.23 177
2023 Q2 29.5M $471M -$6.93M $15.95 170
2023 Q1 30.5M $478M -$104M $15.69 168
2022 Q4 36.4M $614M +$4.05M $16.87 168
2022 Q3 33.1M $519M +$31.9M $15.65 141
2022 Q2 31.5M $434M +$20.8M $13.69 132
2022 Q1 30.6M $412M +$7.93M $13.46 120
2021 Q4 33.6M $348M -$5.65M $10.33 132
2021 Q3 32.9M $398M +$14.6M $12.05 124
2021 Q2 31.8M $342M +$11.9M $10.75 108
2021 Q1 36.4M $317M +$6.77M $8.72 103
2020 Q4 27.6M $185M -$23.1M $6.68 100
2020 Q3 34.2M $210M -$25.6M $6.14 93
2020 Q2 44M $286M -$30M $6.50 90
2020 Q1 51.9M $244M -$7.73M $4.68 93
2019 Q4 49.7M $633M -$44.1M $12.72 103
2019 Q3 48.3M $688M +$16.1M $14.24 99
2019 Q2 47.1M $730M +$244M $15.50 90
2019 Q1 31.9M $563M +$7.9M $17.64 84
2018 Q4 31.1M $482M +$120M $15.48 89
2018 Q3 29.3M $534M +$45.1M $18.21 81
2018 Q2 26.8M $496M +$84M $18.49 85
2018 Q1 21M $347M -$19.8M $16.55 74
2017 Q4 24.1M $431M +$9.1M $17.94 75
2017 Q3 23.1M $400M +$25.8M $17.34 68
2017 Q2 18.7M $295M +$4.42M $15.76 67
2017 Q1 18.5M $305M -$719K $16.51 66
2016 Q4 20.5M $385M +$6.55M $18.78 73
2016 Q3 16M $286M +$12.9M $17.81 71
2016 Q2 15.5M $241M -$40.3M $15.50 64
2016 Q1 18M $252M -$12.6M $14.01 52
2015 Q4 18.8M $272M -$14.8M $14.43 48
2015 Q3 18.6M $257M -$9.16M $13.80 39
2015 Q2 19.7M $339M +$339M $17.22 36