AARONS INC - COM PAR $0.50 (AAN)

Historical Holders from Q1 2014 to Q3 2021

Symbol
AAN on NYSE
Type / Class
Equity / COM PAR $0.50
All holders as of 30 Sep 2021
Q3 2021
Total 13F shares, excl. options
0
Holdings value
$0
Number of holders
0
Number of sells
-1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of AARONS INC - COM PAR $0.50 (AAN)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2021 Q3 0 $0 -$6,000 0
2021 Q2 200 $6,000 $30.00 1
2021 Q1 200 $5,000 -$2,070,000 $25.00 1
2020 Q4 109,396 $2,074,000 -$3,433,607,261 $19.48 2
2020 Q3 60,715,834 $3,440,984,022 -$239,250,661 $56.65 265
2020 Q2 65,798,099 $2,986,849,500 -$40,343,620 $45.40 257
2020 Q1 67,244,931 $1,532,305,170 -$212,933,897 $22.78 239
2019 Q4 67,885,632 $3,877,038,296 +$27,687,160 $57.11 301
2019 Q3 66,595,654 $4,280,987,755 +$22,844,658 $64.26 280
2019 Q2 66,323,581 $4,071,596,122 -$1,877,442 $61.41 275
2019 Q1 66,981,360 $3,522,751,777 -$136,742,773 $52.60 270
2018 Q4 69,825,309 $2,937,453,494 -$7,350,572 $42.05 249
2018 Q3 69,798,191 $3,798,673,289 -$89,743,473 $54.46 253
2018 Q2 70,982,241 $3,084,894,607 -$70,033,798 $43.45 254
2018 Q1 73,045,588 $3,397,078,070 +$49,521,068 $46.60 258
2017 Q4 72,159,927 $2,874,812,777 -$32,987,774 $39.85 247
2017 Q3 73,106,498 $3,188,013,160 +$2,069,223 $43.63 251
2017 Q2 73,271,347 $2,850,416,453 +$4,633,184 $38.90 240
2017 Q1 73,952,404 $2,199,567,475 +$275,987,928 $29.74 226
2016 Q4 71,294,382 $2,280,306,710 +$86,183,659 $31.99 225
2016 Q3 68,918,172 $1,750,037,224 +$23,062,443 $25.42 220
2016 Q2 68,117,153 $1,491,217,103 +$60,348,116 $21.89 207
2016 Q1 64,448,990 $1,617,653,379 +$13,008,051 $25.10 196
2015 Q4 64,340,616 $1,440,512,473 -$84,616,676 $22.39 213
2015 Q3 66,049,454 $2,385,135,166 +$92,911,197 $36.11 242
2015 Q2 63,612,855 $2,303,345,957 -$28,288,291 $36.21 211
2015 Q1 64,449,118 $1,825,135,585 -$25,279,917 $28.31 183
2014 Q4 65,162,343 $1,992,652,778 +$41,860,442 $30.57 181
2014 Q3 64,281,645 $1,563,340,644 -$161,854,292 $24.32 186
2014 Q2 68,561,814 $2,443,488,923 -$86,681,367 $35.64 222
2014 Q1 71,779,733 $2,170,420,162 -$170,334,962 $30.24 192