AVALON HOLDINGS CORP - CL A (AWX)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / CL A
Shares, excl. options Q3 2024
301K
Holdings value Q3 2024
$767K
Value change Q3 2024
+$63.6K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
13
Number of buys Q3 2024
3
Number of sells Q3 2024
-5
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 301K $767K +$63.6K $2.55 13
2024 Q2 276K $607K -$75.7K $2.20 12
2024 Q1 310K $691K -$9.57K $2.23 14
2023 Q4 314K $750K -$3.42K $2.39 14
2023 Q3 316K $612K -$54.2K $1.94 12
2023 Q2 340K $868K +$83.9K $2.55 14
2023 Q1 308K $815K -$17.2K $2.65 12
2022 Q4 314K $863K -$21.7K $2.75 12
2022 Q3 322K $853K -$102K $2.65 10
2022 Q2 361K $936K +$19.3K $2.59 11
2022 Q1 353K $1.16M -$87.4K $3.28 10
2021 Q4 380K $1.37M -$130K $3.62 10
2021 Q3 415K $1.61M +$55K $3.88 11
2021 Q2 391K $1.83M -$97.1K $4.69 13
2021 Q1 414K $1.52M +$334K $3.66 14
2020 Q4 110K $288K +$76.7K $3.33 5
2020 Q3 305K $535K -$160K $1.75 9
2020 Q2 400K $643K -$60.5K $1.61 10
2020 Q1 457K $593K +$50.6K $1.30 13
2019 Q4 418K $803K +$39.3K $1.92 12
2019 Q3 393K $868K +$62.6K $2.21 10
2019 Q2 365K $910K -$125K $2.49 9
2019 Q1 414K $1.07M +$3.82K $2.59 11
2018 Q4 413K $1.1M -$205K $2.65 11
2018 Q3 455K $1.69M +$608K $3.72 13
2018 Q2 377K $816K -$45.2K $2.16 9
2018 Q1 397K $875K -$8.03K $2.22 8
2017 Q4 398K $795K -$9.68K $2.00 6
2017 Q3 403K $804K -$392K $2.00 6
2017 Q2 584K $1.42M -$486K $2.42 9
2017 Q1 784K $1.86M -$74.5K $2.37 9
2016 Q4 816K $2.41M -$61.9K $2.95 10
2016 Q3 823K $2.43M -$6.2K $2.95 6
2016 Q2 825K $1.92M +$26K $2.33 6
2016 Q1 817K $1.52M -$28.5K $1.88 6
2015 Q4 833K $1.57M -$22.1K $1.89 8
2015 Q3 844K $1.62M +$18.2K $1.92 8
2015 Q2 834K $2M -$9.91K $2.40 7
2015 Q1 839K $2.28M -$41.2K $2.71 6
2014 Q4 853K $2.24M -$40.6K $2.62 6
2014 Q3 882K $3.28M +$9.78K $3.72 8
2014 Q2 878K $3.79M +$11K $4.31 7
2014 Q1 876K $4.53M -$58 $5.21 8