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Lockheed Martin Corporation shares owned by Chevy Chase Trust Holdings

Quarter-by-quarter ownership of Lockheed Martin Corporation (LMT) shares owned by Chevy Chase Trust Holdings from 13F filings

Historical chart of Chevy Chase Trust Holdings investment in Lockheed Martin Corporation

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All positions including Lockheed Martin Corporation held by Chevy Chase Trust Holdings consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Lockheed Martin Corporation by Chevy Chase Trust Holdings

Quarter filed Position value Share count Share price at filing
2023-12-31 $91M 200k 453.24
2023-09-30 $83M 203k 408.96
2023-06-30 $93M 202k 460.38
2023-03-31 $1.9M 4.1k 472.73
2022-12-31 $101M 207k 486.49
2022-09-30 $84M 218k 386.38
2022-06-30 $93M 216k 429.96
2022-03-31 $96M 218k 441.35
2021-12-31 $78M 220k 355.41
2021-09-30 $78M 225k 345.19
2021-06-30 $87M 230k 378.26
2021-03-31 $89M 240k 369.58
2020-12-31 $89M 252k 354.92
2020-09-30 $99M 258k 383.28
2020-06-30 $119M 325k 364.97
2020-03-31 $114M 337k 338.92
2019-12-31 $130M 333k 389.38
2019-09-30 $169M 434k 390.06
2019-06-30 $157M 431k 363.54
2019-03-31 $144M 431k 333.33
2018-12-31 $112M 429k 261.79
2018-09-30 $149M 429k 346.04
2018-06-30 $128M 434k 295.43
2018-03-31 $147M 435k 337.93
2017-12-31 $142M 441k 321.05
2017-09-30 $137M 442k 310.29
2017-06-30 $122M 437k 277.71
2017-03-31 $117M 438k 267.59
2016-12-31 $109M 434k 250.00
2016-09-30 $104M 434k 239.72
2016-06-30 $111M 448k 248.18
2016-03-31 $99M 446k 221.50
2015-12-31 $96M 441k 217.23
2015-09-30 $92M 442k 207.42
2015-06-30 $81M 437k 185.91
2015-03-31 $88M 435k 203.04
2014-12-31 $82M 428k 192.54
2014-09-30 $76M 413k 182.88
2014-06-30 $64M 404k 158.14
2014-03-31 $67M 409k 163.24
2013-12-31 $61M 409k 148.59
2013-09-30 $51M 400k 127.55
2013-06-30 $536k 4.9k 108.37
2013-03-31 $36M 369k 96.48
2012-12-31 $35M 381k 92.29
2012-09-30 $33M 352k 93.38
2012-06-30 $29M 332k 87.15
2012-03-31 $25M 277k 89.91
2011-12-31 $21M 264k 80.98
2011-09-30 $20M 268k 72.64
2011-06-30 $22M 277k 81.01
2011-03-31 $23M 284k 80.40
2010-12-31 $9.8M 140k 69.91