BMC STK HLDGS INC - COM (BMCH) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2015 to Q1 2021

Type / Class
Equity / COM
Symbol
BMCH
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of BMC STK HLDGS INC - COM (BMCH) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q1 0 $0 -$3,522,918,862 0
2020 Q4 65,911,787 $3,537,218,529 -$98,052,921 $53.68 203
2020 Q3 68,546,822 $2,933,475,763 +$56,065,559 $42.83 208
2020 Q2 68,088,453 $1,710,038,989 +$15,507,505 $25.14 183
2020 Q1 68,842,762 $1,221,865,614 -$17,359,454 $17.73 183
2019 Q4 67,646,546 $1,938,136,293 +$48,419,720 $28.69 209
2019 Q3 63,941,638 $1,667,310,603 +$35,637,679 $26.18 197
2019 Q2 62,993,657 $1,333,465,267 -$63,712,717 $21.20 190
2019 Q1 67,683,996 $1,195,721,033 -$14,245,210 $17.67 181
2018 Q4 68,785,121 $1,064,817,251 -$13,929,822 $15.48 163
2018 Q3 69,057,864 $1,286,218,796 -$16,707,862 $18.65 161
2018 Q2 69,737,633 $1,454,092,840 +$24,643,499 $20.85 155
2018 Q1 68,701,489 $1,342,490,699 -$139,832,858 $19.55 155
2017 Q4 69,523,704 $1,759,016,928 +$19,313,509 $25.30 167
2017 Q3 68,571,797 $1,463,889,266 +$20,464,485 $21.35 145
2017 Q2 67,682,783 $1,470,210,805 +$105,163,909 $21.85 147
2017 Q1 62,206,677 $1,404,267,822 +$107,302,951 $22.60 154
2016 Q4 61,691,331 $1,196,426,821 -$12,032,949 $19.50 124
2016 Q3 55,133,496 $970,343,112 +$44,284,194 $17.73 123
2016 Q2 52,758,665 $931,856,813 +$87,028,590 $17.82 122
2016 Q1 47,879,711 $786,670,000 +$95,387,820 $16.62 98
2015 Q4 42,156,105 $696,964,084 +$694,541,084 $16.75 90