ASSURED GUARANTY LTD - Common Shares $0.01 par value per share (AGO)

Historical Holders from Q1 2014 to Q1 2025

Symbol
AGO on NYSE
CUSIP
G0585R106
Type / Class
Equity / Common Shares $0.01 par value per share
Shares outstanding
48.9M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
46.8M
Holdings value
$4.21B
% of all portfolios
0.004%
Grand Portfolio weight change
+0%
Number of holders
323
Number of buys
132
Number of sells
-148
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ASSURED GUARANTY LTD - Common Shares $0.01 par value per share (AGO)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FRANKLIN RESOURCES INC 1% $41M 489K Franklin Resources, Inc. Sep 30, 2024

Institutional Holders of ASSURED GUARANTY LTD - Common Shares $0.01 par value per share (AGO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.51M $133M +$15.1M $88.10 34
2024 Q4 46.8M $4.21B +$93.4M $90.01 323
2024 Q3 46.1M $3.67B -$157M $79.52 324
2024 Q2 48.2M $3.72B -$115M $77.15 322
2024 Q1 49.5M $4.31B +$312M $87.25 331
2023 Q4 51.1M $3.83B -$26.6M $74.83 278
2023 Q3 50.8M $3.07B -$34.5M $60.52 251
2023 Q2 51.5M $2.87B -$55.4M $55.80 259
2023 Q1 52.6M $2.65B -$2.91M $50.27 257
2022 Q4 52.3M $3.26B -$110M $62.26 257
2022 Q3 53.9M $2.61B -$86.3M $48.45 233
2022 Q2 56.3M $3.13B -$140M $55.79 245
2022 Q1 59.1M $3.76B -$172M $63.66 250
2021 Q4 62.4M $3.13B -$182M $50.20 251
2021 Q3 65.6M $3.07B -$145M $46.81 237
2021 Q2 69M $3.27B -$87M $47.48 227
2021 Q1 71M $3B -$155M $42.28 242
2020 Q4 74.6M $2.35B +$61.6M $31.49 218
2020 Q3 74.3M $1.6B -$54.3M $21.48 193
2020 Q2 77.1M $1.88B -$142M $24.41 204
2020 Q1 82.8M $2.14B -$206M $25.79 230
2019 Q4 88.2M $4.31B -$211M $49.02 271
2019 Q3 93.3M $4.14B -$190M $44.46 265
2019 Q2 97.8M $4.1B +$52.5M $42.08 264
2019 Q1 98.7M $4.38B -$33.7M $44.43 274
2018 Q4 99.5M $3.8B -$154M $38.28 280
2018 Q3 103M $4.35B -$84.1M $42.23 276
2018 Q2 105M $3.76B -$134M $35.73 268
2018 Q1 110M $3.99B -$75.4M $36.20 265
2017 Q4 114M $3.85B -$61.7M $33.87 270
2017 Q3 114M $4.29B -$110M $37.75 271
2017 Q2 116M $4.86B -$77.5M $41.74 267
2017 Q1 118M $4.38B +$49.6M $37.11 268
2016 Q4 122M $4.6B -$76.9M $37.77 272
2016 Q3 125M $3.46B -$92.4M $27.75 254
2016 Q2 128M $3.25B -$7.47M $25.37 246
2016 Q1 128M $3.25B -$148M $25.30 250
2015 Q4 136M $3.6B -$99.6M $26.43 256
2015 Q3 140M $3.49B -$173M $25.00 233
2015 Q2 148M $3.55B +$31.4M $23.99 250
2015 Q1 147M $3.87B -$129M $26.39 238
2014 Q4 152M $3.95B -$46.4M $25.99 245
2014 Q3 155M $3.44B -$199M $22.16 228
2014 Q2 164M $4.01B -$144M $24.50 238
2014 Q1 171M $4.33B +$46M $25.32 230