AMBAC FINL GROUP INC - *W EXP 04/30/202 (AMBCWS)

Historical Holders from Q1 2014 to Q3 2023

Type / Class
Equity / *W EXP 04/30/202
Symbol
AMBCWS
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of AMBAC FINL GROUP INC - *W EXP 04/30/202 (AMBCWS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2023 Q3 0 $0 -$4,029,661 0
2023 Q2 31,403 $4,029,661 +$3,903,939 $128.32 1
2023 Q1 982,447 $125,722 -$40,781 $0.13 12
2022 Q4 330,438 $671,179 +$54,812 $2.03 8
2022 Q3 274,570 $715,000 +$202,794 $2.61 11
2022 Q2 206,190 $270,000 -$36,633 $1.30 7
2022 Q1 241,593 $279,000 -$207,541 $1.15 7
2021 Q4 419,257 $1,749,000 -$21,497 $4.18 8
2021 Q3 475,871 $1,779,000 -$3,518,975 $3.78 9
2021 Q2 4,012,213 $5,286,000 -$4,299,961 $3.76 9
2021 Q1 8,507,585 $10,158,000 +$80,890 $4.51 10
2020 Q4 489,286 $2,198,000 -$77,038 $4.42 9
2020 Q3 501,340 $2,742,000 +$273,899 $5.47 8
2020 Q2 400,607 $2,398,000 +$1,849,510 $5.98 7
2020 Q1 91,745 $489,000 +$120,762 $5.34 5
2019 Q4 69,386 $688,000 +$6,495 $9.90 5
2019 Q3 68,821 $573,000 -$270,558 $8.34 6
2019 Q2 102,917 $820,000 +$16,676 $7.97 7
2019 Q1 100,814 $848,000 +$6,309 $8.43 7
2018 Q4 100,072 $802,000 -$477,434 $8.11 7
2018 Q3 147,971 $1,463,000 +$340,537 $9.89 9
2018 Q2 114,024 $1,046,000 -$146,293 $9.24 8
2018 Q1 130,285 $911,000 -$1,276,133 $6.99 6
2017 Q4 345,395 $1,982,000 -$1,644,321 $5.73 6
2017 Q3 631,553 $5,071,000 +$1,561 $8.00 8
2017 Q2 631,416 $5,367,000 -$305,866 $8.50 8
2017 Q1 667,379 $6,282,000 -$187,885 $9.62 9
2016 Q4 687,094 $8,417,000 -$974,232 $12.25 8
2016 Q3 300,360 $2,643,000 -$532,052 $8.80 10
2016 Q2 368,716 $2,741,069 -$231,373 $7.48 10
2016 Q1 399,278 $2,826,621 +$362,540 $7.01 9
2015 Q4 340,329 $2,199,000 -$299,658 $6.65 8
2015 Q3 271,571 $1,865,658 -$2,196,857 $6.87 7
2015 Q2 558,102 $4,242,515 -$1,307,026 $7.60 9
2015 Q1 652,714 $8,774,003 -$1,938,563 $13.44 12
2014 Q4 796,488 $11,549,082 -$1,806,173 $14.50 14
2014 Q3 833,757 $11,579,413 -$5,396,804 $13.90 11
2014 Q2 1,111,785 $19,175,000 +$7,866,428 $16.78 11
2014 Q1 829,166 $16,910,000 -$19,073,004 $20.40 11