CMB.TECH NV - SHS (CMBT)

Historical Holders from Q1 2015 to Q1 2025

Symbol
CMBT on NYSE
CUSIP
B38564108
Type / Class
Equity / SHS
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
2.24M
Holdings value
$22.4M
% of all portfolios
0%
Grand Portfolio weight change
0%
Number of holders
53
Number of buys
25
Number of sells
-29
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of CMB.TECH NV - SHS (CMBT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 10.9K $98.5K -$7.94K $9.08 3
2024 Q4 2.24M $22.4M -$13M $9.93 53
2024 Q3 2.87M $47.5M -$30.7M $16.62 57
2024 Q2 4.73M $78.2M -$415M $16.54 59
2024 Q1 29.5M $495M -$315M $16.63 88
2023 Q4 47.7M $836M +$289M $17.59 129
2023 Q3 34.4M $562M -$18.7M $16.43 130
2023 Q2 35.6M $542M -$81.9M $15.22 132
2023 Q1 40.3M $674M -$334M $16.79 118
2022 Q4 59.9M $1.02B +$73.1M $17.04 126
2022 Q3 54.4M $841M +$175M $15.39 102
2022 Q2 42.6M $507M -$144M $11.93 92
2022 Q1 56.7M $605M +$144M $10.57 99
2021 Q4 43.8M $389M -$158M $8.89 93
2021 Q3 60.1M $580M -$50.5M $9.76 102
2021 Q2 65.5M $611M +$52.3M $9.32 114
2021 Q1 59.8M $550M +$1.49M $9.15 116
2020 Q4 59.3M $480M -$42.9M $8.00 112
2020 Q3 64M $566M -$54.5M $8.83 119
2020 Q2 68.6M $552M -$153M $8.15 127
2020 Q1 80.5M $903M -$27M $11.28 134
2019 Q4 81.6M $1.02B +$136M $12.54 122
2019 Q3 67.1M $612M -$16.9M $9.20 85
2019 Q2 68.9M $646M +$17.3M $9.44 84
2019 Q1 71.2M $580M -$41.8M $8.15 75
2018 Q4 73.8M $514M +$40.3M $6.93 77
2018 Q3 68.3M $592M -$66.4M $8.70 78
2018 Q2 76.4M $702M +$391M $9.20 90
2018 Q1 37.5M $308M +$6.7M $8.20 66
2017 Q4 36.4M $336M -$8.82M $9.25 66
2017 Q3 38.4M $311M -$6.93M $8.10 66
2017 Q2 39.3M $310M -$18.7M $7.90 71
2017 Q1 41.6M $329M +$20.3M $7.90 76
2016 Q4 39.3M $313M -$53.3M $7.95 72
2016 Q3 44.7M $340M -$32M $7.63 87
2016 Q2 49.4M $453M -$68.1M $9.17 95
2016 Q1 55M $563M -$99.6M $10.24 101
2015 Q4 62.8M $860M +$50.4M $13.71 99
2015 Q3 58.7M $816M +$97.4M $13.90 80
2015 Q2 51.5M $762M +$732M $14.81 70
2015 Q1 1.7M $20.5M +$20.5M $12.07 4