ALLIED HEALTHCARE PRODS INC - COM NEW (AHPI) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2016 to Q1 2023

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

Institutional Holders of ALLIED HEALTHCARE PRODS INC - COM NEW (AHPI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2023 Q1 0 $0 -$132,911 0
2022 Q4 145,422 $132,911 -$23,978 $0.92 9
2022 Q3 165,899 $220,000 -$128,531 $1.31 7
2022 Q2 254,774 $414,000 -$207,833 $1.61 9
2022 Q1 368,623 $1,185,000 +$107,488 $3.23 9
2021 Q4 333,380 $1,939,000 +$766,765 $5.81 7
2021 Q3 191,098 $1,317,000 +$7,643 $6.88 9
2021 Q2 210,404 $876,000 -$188,357 $4.17 9
2021 Q1 246,011 $1,164,000 -$195,059 $4.73 11
2020 Q4 283,488 $1,379,000 -$519,448 $4.86 13
2020 Q3 382,700 $2,111,000 -$1,036,560 $5.51 14
2020 Q2 505,241 $5,953,000 -$517,626 $11.78 16
2020 Q1 521,768 $9,135,000 +$5,671,737 $17.51 15
2019 Q4 398,522 $483,000 -$61,219 $1.21 8
2019 Q3 446,628 $624,000 +$7,108 $1.40 9
2019 Q2 440,737 $825,000 -$34,783 $1.87 8
2019 Q1 459,667 $835,000 +$20,124 $1.81 10
2018 Q4 448,571 $845,000 -$47,573 $1.93 10
2018 Q3 472,029 $1,040,000 -$63,680 $2.20 11
2018 Q2 500,817 $1,208,000 -$15,312 $2.41 11
2018 Q1 502,126 $1,428,000 +$237,066 $2.84 10
2017 Q4 421,665 $886,000 +$29,901 $2.09 9
2017 Q3 407,431 $861,000 +$2,078 $2.12 9
2017 Q2 443,084 $1,263,000 +$63,761 $2.87 10
2017 Q1 428,596 $829,000 -$70,268 $1.93 9
2016 Q4 464,846 $933,000 +$933,000 $2.00 9