AVX CORP NEW - COM (AVX) Institutional Ownership

CUSIP: 002444107

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2020

Type / Class
Equity / COM
Symbol
AVX
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 002444107?
CUSIP 002444107 identifies AVX - AVX CORP NEW - COM in SEC 13F datasets.

Where can I see the latest institutional holders?
Use the ownership history tables below to review the newest available institutional filing periods.

Institutional Holders of AVX CORP NEW - COM (AVX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2020 Q2 0 $0 -$3,704,001 0
2020 Q1 230,829 $4,998,553 -$885,231,760 $21.66 8
2019 Q4 43,432,356 $888,909,686 -$33,264,972 $20.47 128
2019 Q3 45,780,971 $695,815,693 +$11,643,508 $15.20 130
2019 Q2 44,901,223 $745,433,867 +$30,461,838 $16.60 147
2019 Q1 43,826,500 $759,943,671 +$425,462 $17.34 142
2018 Q4 43,860,890 $668,890,362 -$3,046,146 $15.25 154
2018 Q3 43,918,731 $792,725,072 +$20,631,360 $18.05 155
2018 Q2 42,817,212 $671,014,821 -$4,447,906 $15.67 129
2018 Q1 43,063,840 $712,768,289 +$2,453,665 $16.55 136
2017 Q4 42,991,940 $743,865,734 +$1,745,081 $17.30 132
2017 Q3 42,796,432 $780,174,168 +$7,266,709 $18.23 136
2017 Q2 42,436,136 $693,375,004 +$4,006,079 $16.34 135
2017 Q1 42,187,060 $691,020,519 +$53,755,466 $16.38 137
2016 Q4 41,843,446 $654,043,119 +$6,931,413 $15.63 136
2016 Q3 41,424,603 $570,660,214 -$10,408,326 $13.79 130
2016 Q2 42,195,829 $572,992,976 -$5,768,302 $13.58 124
2016 Q1 42,579,748 $535,182,722 +$6,409,218 $12.57 131
2015 Q4 42,155,945 $511,771,345 -$6,261,186 $12.14 136
2015 Q3 42,637,740 $558,121,797 +$5,496,942 $13.09 119
2015 Q2 42,205,864 $568,094,736 +$8,430,086 $13.46 129
2015 Q1 41,568,557 $593,008,055 +$4,852,800 $14.27 126
2014 Q4 41,231,956 $577,133,910 -$5,294,835 $14.00 116
2014 Q3 41,580,959 $552,193,509 -$2,556,147 $13.28 117
2014 Q2 41,773,767 $554,737,355 +$1,870,989 $13.28 117
2014 Q1 41,881,019 $552,000,991 +$3,433,518 $13.18 114