Bank First Corp - COM (BFC)

Historical Portfolio Holders from Q2 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
3.03M
Holdings value Q3 2024
$274M
Value change Q3 2024
+$7.1M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
112
Number of buys Q3 2024
61
Number of sells Q3 2024
-27
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 3.03M $274M +$7.1M $90.70 112
2024 Q2 2.92M $242M -$12M $82.59 96
2024 Q1 3.06M $264M +$3.84M $86.67 102
2023 Q4 3.04M $263M +$17.1M $86.66 105
2023 Q3 2.84M $220M -$853K $77.15 82
2023 Q2 2.85M $238M +$34.5M $83.20 80
2023 Q1 2.44M $179M +$4.97M $73.58 76
2022 Q4 2.35M $218M +$26.9M $92.82 86
2022 Q3 2.06M $158M -$95.7K $76.48 78
2022 Q2 2.06M $157M +$4.48M $75.81 72
2022 Q1 2M $144M -$1.53M $71.99 65
2021 Q4 2M $145M -$1.01M $72.24 64
2021 Q3 2.01M $143M +$847K $70.87 62
2021 Q2 2M $140M -$5.82M $69.77 60
2021 Q1 1.66M $124M +$5.39M $74.99 65
2020 Q4 2.03M $131M +$4.48M $64.82 57
2020 Q3 1.96M $115M -$2.59M $58.70 57
2020 Q2 1.99M $128M +$7.56M $64.09 57
2020 Q1 1.88M $105M +$131K $56.00 53
2019 Q4 1.78M $125M +$9.43M $70.00 53
2019 Q3 1.65M $109M +$17.3M $66.18 47
2019 Q2 1.3M $89.5M +$21M $68.96 46
2019 Q1 1.02M $59.9M +$6.5M $58.93 30
2018 Q4 909K $42.6M +$10.3M $46.60 20
2018 Q3 688K $37.6M +$756K $54.75 4
2018 Q2 674K $36.2M -$938K $53.67 4
2018 Q1 691K $32M +$499K $46.25 4
2017 Q4 680K $30.4M -$465K $44.70 4
2017 Q3 691K $26.6M -$246K $38.49 4
2017 Q2 697K $25.3M +$232K $36.25 3
2017 Q1 691K $24.4M +$642K $35.30 3
2016 Q4 673K $22.4M +$803K $33.33 3
2016 Q3 649K $19.7M +$32.6K $30.30 3
2016 Q2 648K $18.1M -$381K $28.00 3
2016 Q1 661K $17.2M +$60.3K $27.00 3
2015 Q4 657K $18.6M -$195K $28.25 3
2015 Q3 664K $16M +$49.3K $24.05 3
2015 Q2 662K $16M -$13.3K $24.10 3
2015 Q1 663K $15.5M +$117K $23.45 3
2014 Q4 658K $14.9M +$140K $22.65 3
2014 Q3 652K $13.5M +$11.5M $20.74 3
2014 Q2 97.1K $2.03M +$2.03M $20.90 1