DuPont de Nemours, Inc. - COM (DD)

Historical Holders from Q1 2016 to Q1 2025

Symbol
DD on NYSE
CUSIP
26614N102
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
297M
Holdings value
$22.6B
% of all portfolios
0.019%
Grand Portfolio weight change
+0.001%
Number of holders
1380
Number of buys
573
Number of sells
-615
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of DuPont de Nemours, Inc. - COM (DD)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 8.15M $608M +$62.4M $74.68 259
2024 Q4 297M $22.6B +$323M $76.25 1,380
2024 Q3 291M $25.9B -$337M $89.11 1,381
2024 Q2 294M $23.7B -$115M $80.49 1,366
2024 Q1 297M $22.7B -$573M $76.67 1,317
2023 Q4 298M $22.9B -$1.01B $76.93 1,329
2023 Q3 318M $23.7B -$1.18B $74.59 1,253
2023 Q2 351M $25B -$296M $71.44 1,248
2023 Q1 350M $25.1B -$1.01B $71.77 1,269
2022 Q4 351M $24.1B -$300M $68.63 1,252
2022 Q3 359M $18.1B -$136M $50.40 1,131
2022 Q2 354M $19.7B -$275M $55.58 1,198
2022 Q1 338M $24.9B -$432M $73.58 1,302
2021 Q4 335M $27.1B +$527M $80.78 1,328
2021 Q3 349M $23.7B -$292M $67.99 1,216
2021 Q2 369M $28.6B -$359M $77.41 1,264
2021 Q1 322M $24.8B -$14.4B $77.28 1,249
2020 Q4 535M $38B +$1.65B $71.11 1,266
2020 Q3 549M $30.5B -$167M $55.48 1,146
2020 Q2 568M $30.2B +$938M $53.13 1,123
2020 Q1 467M $15.9B -$692M $34.10 1,006
2019 Q4 487M $31.2B +$327M $64.20 1,311
2019 Q3 530M $37.8B +$217M $71.31 1,275
2019 Q2 541M $40.6B +$40.5B $75.07 1,298
2019 Q1 52.6K $2.94M +$176K $53.36 7
2018 Q4 43.8K $2.34M -$180K $53.48 3
2018 Q3 47.1K $3.03M +$836 $64.31 3
2018 Q2 47.1K $3.11M -$33.1K $65.92 3
2018 Q1 6.17K $394K +$956 $103.28 2
2017 Q4 6.15K $439K $0 $107.04 2
2017 Q3 6.15K $427K -$283K $106.04 2
2017 Q2 8.33K $678K +$13.6K $80.71 3
2017 Q1 8.16K $656K -$4.03K $80.43 3
2016 Q4 8.21K $603K $0 $73.40 3
2016 Q3 3.96K $265K +$33.4K $66.86 2
2016 Q2 3.46K $224K +$4.93K $64.92 2
2016 Q1 3.38K $214K $0 $62.83 2