MLM NYSE

BlackRock Inc reported holding of MLM

BlackRock Inc reported holding of MLM

This chart displays the historical ownership data of MLM by BlackRock Inc. At the end of Q3 2013 the holding was valued at $2,871,000. This increased to $2,243,553,598 at the end of Q2 2024.

BlackRock Inc reported holding of MLM
Date Holding Value
2871000
2859000
3100000
3418000
16958000
14788000
19145000
18629000
22394000
20098000
18525000
24044000
21851000
25569000
815527000
849766000
794740000
853584000
810635000
884859000
711573000
678110000
789456000
896876000
1091073000
1147986000
747402000
801835000
902669000
1080137000
1327071000
1441046000
1417929000
1796154000
1584501000
1213326000
1289494000
1360498534
1420663888
1819924404
1689942732
2052406466
2514359781
2243553598

BlackRock Inc reported holdings of MLM from Q3 2013 to Q2 2024

Historical holdings data showing quarterly positions, market values, shares held, and portfolio percentages for MLM held by BlackRock Inc from Q3 2013 to Q2 2024
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BlackRock Inc reported holdings of MLM from Q3 2013 to Q2 2024
Reporting period Holding Type Market Value % of portfolio Shares Change in shares % Change in shares Qtr end price
Q3 2013 Stock $2,871,000 < 0.01% 29,244 3,657 14.29% $98.17
Q4 2013 Stock $2,859,000 < 0.01% 28,607 -637 -2.18% $99.94
Q1 2014 Stock $3,100,000 < 0.01% 24,146 -4,461 -15.59% $128.35
Q2 2014 Stock $3,418,000 < 0.01% 25,884 1,738 7.2% $132.05
Q3 2014 Stock $16,958,000 0.02% 131,521 105,637 408.12% $128.94
Q4 2014 Stock $14,788,000 0.02% 134,040 2,519 1.92% $110.32
Q1 2015 Stock $19,145,000 0.03% 136,944 2,904 2.17% $139.80
Q2 2015 Stock $18,629,000 0.03% 131,647 -5,297 -3.87% $141.51
Q3 2015 Stock $22,394,000 0.04% 147,375 15,728 11.95% $151.95
Q4 2015 Stock $20,098,000 0.03% 147,153 -222 -0.15% $136.58
Q1 2016 Stock $18,525,000 0.03% 116,144 -31,009 -21.07% $159.51
Q2 2016 Stock $24,044,000 0.04% 125,224 9,080 7.82% $192.00
Q3 2016 Stock $21,851,000 0.03% 121,994 -3,230 -2.58% $179.11
Q4 2016 Stock $25,569,000 0.04% 115,417 -6,577 -5.39% $221.53
Q1 2017 Stock $815,527,000 0.04% 3,736,667 3,621,250 3137.54% $218.25
Q2 2017 Stock $849,766,000 0.05% 3,817,803 81,136 2.17% $222.58
Q3 2017 Stock $794,740,000 0.04% 3,853,659 35,856 0.94% $206.23
Q4 2017 Stock $853,584,000 0.04% 3,861,669 8,010 0.21% $221.04
Q1 2018 Stock $810,635,000 0.04% 3,910,444 48,775 1.26% $207.30
Q2 2018 Stock $884,859,000 0.04% 3,962,118 51,674 1.32% $223.33
Q3 2018 Stock $711,573,000 0.03% 3,910,826 -51,292 -1.29% $181.95
Q4 2018 Stock $678,110,000 0.03% 3,945,492 34,666 0.89% $171.87
Q1 2019 Stock $789,456,000 0.04% 3,924,123 -21,369 -0.54% $201.18
Q2 2019 Stock $896,876,000 0.04% 3,897,602 -26,521 -0.68% $230.11
Q3 2019 Stock $1,091,073,000 0.05% 3,980,570 82,968 2.13% $274.10
Q4 2019 Stock $1,147,986,000 0.04% 4,105,223 124,653 3.13% $279.64
Q1 2020 Stock $747,402,000 0.04% 3,949,708 -155,515 -3.79% $189.23
Q2 2020 Stock $801,835,000 0.03% 3,881,657 -68,051 -1.72% $206.57
Q3 2020 Stock $902,669,000 0.03% 3,835,276 -46,381 -1.19% $235.36
Q4 2020 Stock $1,080,137,000 0.03% 3,803,693 -31,583 -0.82% $283.97
Q1 2021 Stock $1,327,071,000 0.04% 3,951,741 148,048 3.89% $335.82
Q2 2021 Stock $1,441,046,000 0.04% 4,096,095 144,354 3.65% $351.81
Q3 2021 Stock $1,417,929,000 0.04% 4,149,870 53,775 1.31% $341.68
Q4 2021 Stock $1,796,154,000 0.05% 4,077,354 -72,516 -1.75% $440.52
Q1 2022 Stock $1,584,501,000 0.04% 4,116,762 39,408 0.97% $384.89
Q2 2022 Stock $1,213,326,000 0.04% 4,054,688 -62,074 -1.51% $299.24
Q3 2022 Stock $1,289,494,000 0.04% 4,003,519 -51,169 -1.26% $322.09
Q4 2022 Stock $1,360,498,534 0.04% 4,025,501 21,982 0.55% $337.97
Q1 2023 Stock $1,420,663,888 0.04% 4,001,194 -24,307 -0.6% $355.06
Q2 2023 Stock $1,819,924,404 0.05% 3,941,875 -59,319 -1.48% $461.69
Q3 2023 Stock $1,689,942,732 0.05% 4,116,991 175,116 4.44% $410.48
Q4 2023 Stock $2,052,406,466 0.05% 4,113,781 4,113,781 0 $498.91
Q1 2024 Stock $2,514,359,781 0.06% 4,095,449 -18,332 -0.45% $613.94
Q2 2024 Stock $2,243,553,598 0.05% 4,140,926 45,477 1.11% $541.80
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