Cigna Group - COM (CI)

Historical Holders from Q1 2016 to Q1 2025

Symbol
CI on NYSE
CUSIP
125523100
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
243M
Holdings value
$67B
% of all portfolios
0.049%
Grand Portfolio weight change
+0.002%
Number of holders
1604
Number of buys
604
Number of sells
-851
Average Value change %
+0.01%
Average buys %
+0.014%
Average sells %
-0.009%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Cigna Group - COM (CI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 3.16M $1.04B -$159M $329.00 342
2024 Q4 243M $67B +$993M $276.14 1,604
2024 Q3 238M $82.5B -$1.99B $346.44 1,667
2024 Q2 243M $80.3B -$1.05B $330.57 1,625
2024 Q1 245M $89B -$1.92B $363.19 1,628
2023 Q4 254M $76B +$750M $299.45 1,578
2023 Q3 250M $71.4B -$420M $286.07 1,454
2023 Q2 250M $70B -$1.16B $280.60 1,449
2023 Q1 253M $64.6B -$1.35B $255.53 1,436
2022 Q4 254M $84B -$2.1B $331.34 1,502
2022 Q3 265M $73.7B -$1.43B $277.47 1,429
2022 Q2 259M $68.2B -$639M $263.52 1,388
2022 Q1 263M $63.1B -$766M $239.61 1,329
2021 Q4 266M $61.1B -$1.68B $229.63 1,291
2021 Q3 289M $58B -$2.17B $200.16 1,214
2021 Q2 300M $71B -$1.68B $237.07 1,255
2021 Q1 289M $69.7B -$1.21B $241.74 1,204
2020 Q4 315M $65.5B -$645M $208.18 1,158
2020 Q3 290M $49.1B -$2.44B $169.41 1,074
2020 Q2 332M $62.3B +$405M $187.65 1,117
2020 Q1 284M $50.2B -$1.53B $177.18 1,090
2019 Q4 333M $68.1B +$760M $204.49 1,134
2019 Q3 301M $45.7B -$720M $151.79 1,012
2019 Q2 308M $48.5B +$732M $157.55 1,021
2019 Q1 324M $52.1B -$41.1M $160.82 1,053
2018 Q4 333M $63.2B +$63B $189.92 1,110
2018 Q3 3.82K $738K +$5K $208.25 6
2018 Q2 3.8K $669K +$10.2K $169.95 6
2018 Q1 12.7K $2.1M +$1.48M $167.74 7
2017 Q4 3.56K $676K -$24.1K $202.69 6
2017 Q3 3.68K $676K +$386K $186.94 6
2017 Q2 1.55K $259K +$7.5K $167.39 5
2017 Q1 1.5K $221K -$5.02K $146.49 5
2016 Q4 1.54K $205K -$12.7K $133.39 5
2016 Q3 1.42K $184K -$6.52K $130.15 4
2016 Q2 1.09K $140K -$58.6K $127.99 3
2016 Q1 2.01K $289K $0 $137.47 4