AXCELIS TECHNOLOGIES INC - COMMON STOCK (ACLS)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ACLS on Nasdaq
Type / Class
Equity / COMMON STOCK
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
1
Holdings value
$3
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of AXCELIS TECHNOLOGIES INC - COMMON STOCK (ACLS)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1 $3 $3 1
2025 Q2 1 $3 $3 1
2025 Q1 1 $3 $3 1
2024 Q4 1 $3 $3 1
2024 Q3 1 $3 $3 1
2024 Q2 81 $8,925 -$26,764 $57.26 2
2024 Q1 321 $35,689 +$35,686 $57.26 2
2023 Q4 1 $3 $3 1
2023 Q3 1 $3 $3 1
2023 Q2 1 $3 $3 1
2023 Q1 1 $3 $3 1
2022 Q4 1 $3 +$3 $3 1
2021 Q4 0 $0 -$2,000 0
2021 Q3 39 $2,000 $51.28 1
2021 Q2 39 $2,000 $51.28 1
2021 Q1 39 $2,000 $51.28 1
2020 Q4 39 $1,000 -$132,000 $25.64 1
2020 Q3 6,039 $133,000 +$88,000 $23.82 2
2020 Q2 2,039 $56,000 $26.57 2
2020 Q1 2,039 $37,000 +$18,000 $21.82 2
2019 Q4 1,039 $25,000 -$23,000 $24.82 2
2019 Q3 2,000 $34,000 $17 1
2019 Q2 2,000 $30,000 $15 1
2019 Q1 2,000 $40,000 +$20,000 $20 1
2018 Q4 1,000 $17,000 -$34,000 $17 1
2018 Q3 3,000 $59,000 $19.67 1
2018 Q2 3,000 $59,000 -$262,667 $19.67 1
2018 Q1 13,291 $327,000 -$715,000 $24.79 2
2017 Q4 36,700 $1,053,000 -$639,757 $28.68 3
2017 Q3 58,893 $1,611,000 -$1,329,041 $27.38 2
2017 Q2 107,495 $2,252,000 -$5,251,498 $20.95 1
2017 Q1 359,262 $6,754,000 -$1,325,004 $18.78 2
2016 Q4 429,738 $6,253,000 -$91 $14.56 2
2016 Q3 430,423 $5,706,091 -$166,080,679 $13.24 3
2016 Q2 57,154,819 $153,743,668 -$73,269,227 $2.69 71
2016 Q1 83,705,122 $234,375,360 +$4,031,927 $2.8 106
2015 Q4 82,755,349 $214,396,055 +$34,162,966 $2.59 105
2015 Q3 70,168,708 $187,361,537 -$24,317,903 $2.67 119
2015 Q2 77,848,121 $230,429,904 +$17,778,914 $2.96 111
2015 Q1 71,917,344 $171,172,876 -$806,839 $2.38 93
2014 Q4 72,205,862 $184,824,003 +$11,200,920 $2.56 81
2014 Q3 67,984,367 $135,289,920 +$5,394,870 $1.99 79
2014 Q2 65,268,876 $130,539,014 +$3,915,332 $2 86
2014 Q1 63,264,430 $135,991,345 +$7,555,953 $2.15 91