Renaissance Technologies
XOM icon

Renaissance Technologies’s Exxon Mobil XOM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$53.6M Sell
496,982
-66,167
-12% -$7.13M 0.07% 318
2025
Q1
$67M Buy
563,149
+500,224
+795% +$59.5M 0.1% 241
2024
Q4
$6.77M Sell
62,925
-549,379
-90% -$59.1M 0.01% 1250
2024
Q3
$71.8M Buy
612,304
+24,486
+4% +$2.87M 0.11% 219
2024
Q2
$67.7M Buy
+587,818
New +$67.7M 0.11% 209
2024
Q1
Sell
-4,502,276
Closed -$450M 4137
2023
Q4
$450M Buy
4,502,276
+4,499,999
+197,628% +$450M 0.7% 14
2023
Q3
$267K Buy
+2,277
New +$267K ﹤0.01% 2986
2023
Q2
Sell
-623,687
Closed -$68.4M 4320
2023
Q1
$68.4M Sell
623,687
-2,903,770
-82% -$318M 0.09% 264
2022
Q4
$389M Sell
3,527,457
-967,397
-22% -$107M 0.53% 20
2022
Q3
$392M Sell
4,494,854
-2,661,932
-37% -$232M 0.56% 18
2022
Q2
$613M Buy
7,156,786
+712,022
+11% +$61M 0.73% 13
2022
Q1
$532M Buy
6,444,764
+131,410
+2% +$10.9M 0.62% 22
2021
Q4
$386M Buy
6,313,354
+3,619,270
+134% +$221M 0.48% 31
2021
Q3
$158M Buy
2,694,084
+2,150,130
+395% +$126M 0.2% 96
2021
Q2
$34.3M Sell
543,954
-2,360,259
-81% -$149M 0.04% 479
2021
Q1
$162M Buy
+2,904,213
New +$162M 0.2% 91
2020
Q4
Sell
-3,186,254
Closed -$109M 3770
2020
Q3
$109M Buy
+3,186,254
New +$109M 0.11% 181
2020
Q1
Sell
-2,728,454
Closed -$190M 3865
2019
Q4
$190M Buy
+2,728,454
New +$190M 0.15% 141
2018
Q4
Sell
-825,054
Closed -$70.1M 3658
2018
Q3
$70.1M Buy
+825,054
New +$70.1M 0.07% 322
2018
Q2
Sell
-211,154
Closed -$15.8M 3573
2018
Q1
$15.8M Sell
211,154
-9,737,200
-98% -$726M 0.02% 1084
2017
Q4
$832M Buy
9,948,354
+6,295,900
+172% +$527M 0.92% 3
2017
Q3
$299M Buy
+3,652,454
New +$299M 0.35% 30
2016
Q1
Sell
-1,317,691
Closed -$103M 3555
2015
Q4
$103M Buy
+1,317,691
New +$103M 0.22% 63
2015
Q3
Sell
-612,391
Closed -$51M 3395
2015
Q2
$51M Sell
612,391
-1,419,100
-70% -$118M 0.12% 172
2015
Q1
$173M Buy
2,031,491
+1,814,300
+835% +$154M 0.37% 32
2014
Q4
$20.1M Sell
217,191
-1,641,600
-88% -$152M 0.05% 513
2014
Q3
$175M Buy
1,858,791
+542,700
+41% +$51M 0.48% 20
2014
Q2
$133M Buy
+1,316,091
New +$133M 0.31% 40
2013
Q4
Sell
-1,588,991
Closed -$137M 3048
2013
Q3
$137M Buy
+1,588,991
New +$137M 0.33% 51