ACTUANT CORP - CL A NEW (EPAC)

Historical Holders from Q1 2014 to Q2 2021

Symbol
EPAC on NYSE
Type / Class
Equity / CL A NEW
All holders as of 30 Jun 2021
Q2 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 ACTUANT CORP - CL A NEW (EPAC)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2021 Q2 0 $0 -$212,000 0
2021 Q1 8,150 $212,000 -$279,736 $26.01 1
2020 Q4 18,904 $427,000 +$36,028 $22.59 1
2020 Q3 17,309 $326,000 +$25,501 $18.83 1
2020 Q2 15,955 $281,000 -$52,455 $17.61 1
2020 Q1 18,557 $314,000 -$1,566,649,878 $21.13 2
2019 Q4 60,263,439 $1,567,717,084 -$54,567,685 $26.03 160
2019 Q3 62,766,263 $1,377,558,421 -$23,439,235 $21.94 160
2019 Q2 63,757,240 $1,581,139,820 +$5,953,481 $24.81 161
2019 Q1 63,825,470 $1,555,735,840 -$11,242,454 $24.37 162
2018 Q4 64,347,522 $1,350,812,328 -$34,163,159 $20.99 165
2018 Q3 65,530,111 $1,827,384,928 -$74,084,147 $27.90 172
2018 Q2 68,166,625 $2,000,224,214 -$30,366,176 $29.35 168
2018 Q1 69,248,889 $1,610,324,943 +$68,975,858 $23.25 156
2017 Q4 66,185,292 $1,674,711,792 +$1,168,641 $25.30 166
2017 Q3 66,054,004 $1,690,941,744 -$9,753,377 $25.60 168
2017 Q2 66,370,203 $1,632,628,284 +$73,361,904 $24.60 163
2017 Q1 63,322,194 $1,668,744,645 +$245,416,049 $26.35 157
2016 Q4 61,319,345 $1,591,430,830 -$25,477,833 $25.95 175
2016 Q3 62,266,544 $1,445,794,420 -$22,107,115 $23.24 166
2016 Q2 63,246,074 $1,430,049,481 +$25,715,568 $22.61 152
2016 Q1 61,972,351 $1,531,283,702 +$10,789,411 $24.71 161
2015 Q4 61,559,022 $1,473,684,145 +$43,683,210 $23.96 165
2015 Q3 60,964,349 $1,121,204,483 +$44,991,014 $18.39 153
2015 Q2 57,674,946 $1,331,720,575 -$39,652,184 $23.09 188
2015 Q1 59,184,466 $1,404,974,190 -$60,656,200 $23.74 175
2014 Q4 61,378,414 $1,671,185,153 -$95,159,270 $27.24 191
2014 Q3 65,010,298 $1,983,931,096 -$82,775,610 $30.52 188
2014 Q2 67,499,852 $2,333,397,261 -$88,086,773 $34.57 201
2014 Q1 70,021,261 $2,391,198,875 -$34,201,241 $34.15 209