APOLLO INVT CORP - COM (AINV)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
80.6K
Holdings value Q2 2024
$1.22M
Value change Q2 2024
-$15.6K
Grand Portfolio weight change Q2 2024
0%
Number of holders
1
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 80.6K $1.22M -$15.6K $15.14 1
2024 Q1 81.6K $1.23M +$1.23M $15.04 1
2023 Q4 0 $0 -$1.12M 0
2023 Q3 81.6K $1.12M -$4.13K $13.76 1
2023 Q2 81.9K $1.03M -$124K $12.56 1
2023 Q1 91.8K $1.05M -$17.6K $11.40 1
2022 Q4 93.4K $1.07M -$14.3K $11.40 1
2022 Q3 94.6K $967K -$423K $10.22 1
2022 Q2 136K $1.47M +$390K $10.77 1
2022 Q1 99.8K $1.32M +$1.74K $13.22 1
2021 Q4 99.7K $1.28M +$39.9K $12.79 1
2021 Q3 96.5K $1.25M +$4.56K $12.97 1
2021 Q2 96.1K $1.31M +$5.69K $13.71 2
2021 Q1 95.7K $1.31M -$153K $13.90 2
2020 Q4 107K $1.14M -$25.5K $10.57 2
2020 Q3 109K $898K -$18.1K $8.27 1
2020 Q2 111K $1.56M -$36.6K $14.09 1
2020 Q1 113K $765K +$153K $6.75 1
2019 Q4 90.7K $1.58M +$142K $17.46 1
2019 Q3 82.6K $1.33M -$414K $16.08 1
2019 Q2 109K $1.72M +$44.9K $15.80 2
2019 Q1 106K $1.6M -$878K $15.13 2
2018 Q4 180K $2.19M -$521M $12.42 5
2018 Q3 95.7M $521M -$21.1M $5.44 182
2018 Q2 99.6M $555M -$5.15M $5.57 185
2018 Q1 100M $522M -$32M $5.22 192
2017 Q4 106M $606M +$23.4M $5.66 203
2017 Q3 98.1M $601M +$7.46M $6.11 185
2017 Q2 101M $645M +$12.4M $6.39 193
2017 Q1 98.3M $645M +$18.9M $6.56 188
2016 Q4 97.5M $572M +$2.61M $5.86 209
2016 Q3 97.2M $564M +$4.38M $5.80 189
2016 Q2 96.8M $536M -$21.6M $5.54 190
2016 Q1 99.6M $553M -$31.1M $5.55 190
2015 Q4 105M $546M +$40.9M $5.22 194
2015 Q3 96.9M $531M -$65.3M $5.48 198
2015 Q2 109M $769M -$5.34M $7.08 204
2015 Q1 109M $837M +$15.2M $7.68 203
2014 Q4 107M $795M +$38.2M $7.42 215
2014 Q3 98.3M $803M -$125M $8.17 215
2014 Q2 114M $977M -$144M $8.61 232
2014 Q1 129M $1.08B +$40.7M $8.31 234