BGC PARTNERS INC-CL A - CL A (BGCP)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A
Shares, excl. options Q2 2024
0
Holdings value Q2 2024
$0
Value change Q2 2024
-$1.15M
Grand Portfolio weight change Q2 2024
0%
Number of holders
0
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 0 $0 -$1.15M 0
2024 Q1 148K $1.15M +$1.15M $7.77 1
2023 Q3 0 $0 -$1.02B 0
2023 Q2 231M $1.02B +$20.1M $4.43 194
2023 Q1 225M $1.18B +$56.5M $5.23 219
2022 Q4 216M $813M +$18.6M $3.77 210
2022 Q3 212M $665M +$9.2M $3.14 197
2022 Q2 208M $701M -$8.62M $3.37 199
2022 Q1 211M $927M +$40.3M $4.40 200
2021 Q4 201M $933M -$51.2M $4.65 195
2021 Q3 209M $1.09B -$57.7M $5.21 195
2021 Q2 221M $1.25B +$10.5M $5.67 212
2021 Q1 220M $1.06B +$77.2M $4.83 210
2020 Q4 206M $824M +$78.7M $4.00 205
2020 Q3 168M $404M -$46.2M $2.40 201
2020 Q2 184M $506M +$7.4M $2.74 218
2020 Q1 183M $462M -$10.9M $2.52 232
2019 Q4 185M $1.1B -$19.7M $5.94 237
2019 Q3 189M $1.04B +$26.8M $5.50 221
2019 Q2 184M $961M +$18.4M $5.23 236
2019 Q1 181M $962M +$304K $5.31 248
2018 Q4 180M $930M -$75.9M $5.17 264
2018 Q3 172M $2.03B +$11.3M $11.82 274
2018 Q2 172M $1.94B +$117M $11.32 275
2018 Q1 160M $2.15B +$335M $13.45 312
2017 Q4 136M $2.05B +$123M $15.11 302
2017 Q3 127M $1.84B +$70.3M $14.47 265
2017 Q2 123M $1.55B +$81.8M $12.64 241
2017 Q1 121M $1.37B +$242M $11.36 224
2016 Q4 114M $1.17B +$40.6M $10.23 207
2016 Q3 110M $965M +$20.6M $8.75 205
2016 Q2 108M $944M -$3M $8.71 211
2016 Q1 109M $983M +$34.7M $9.05 210
2015 Q4 105M $1.03B +$71.9M $9.81 192
2015 Q3 95.4M $784M +$75.6M $8.22 191
2015 Q2 86.4M $756M +$36.2M $8.75 192
2015 Q1 82.2M $776M +$47.6M $9.45 193
2014 Q4 77.3M $707M +$45.9M $9.15 179
2014 Q3 71.8M $534M +$5.79M $7.43 163
2014 Q2 71.2M $530M +$32.6M $7.44 163
2014 Q1 66.9M $437M +$28.8M $6.54 155