BARNWELL INDUSTRIES INC - COM (BRN)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
1.35M
Holdings value Q2 2024
$3.18M
Value change Q2 2024
+$126K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
21
Number of buys Q2 2024
8
Number of sells Q2 2024
-7
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 1.35M $3.18M +$126K $2.35 21
2024 Q1 1.3M $3.06M +$10K $2.36 21
2023 Q4 1.29M $3.14M -$97K $2.43 24
2023 Q3 1.33M $3.51M +$80.6K $2.64 24
2023 Q2 1.34M $3.41M -$502K $2.55 24
2023 Q1 1.52M $3.34M +$355K $2.20 24
2022 Q4 1.35M $3.99M -$76.5K $2.96 20
2022 Q3 1.38M $3.64M -$38K $2.64 16
2022 Q2 1.4M $3.28M +$479K $2.35 17
2022 Q1 1.18M $3.04M +$635K $2.57 17
2021 Q4 933K $2.71M +$359K $2.91 13
2021 Q3 808K $2.45M -$658K $3.03 12
2021 Q2 1.02M $3.38M +$709K $3.31 10
2021 Q1 830K $2.13M +$505K $2.57 12
2020 Q4 651K $824K +$139K $1.27 9
2020 Q3 565K $486K +$49.9K $0.86 10
2020 Q2 455K $407K +$122K $0.90 8
2020 Q1 318K $195K +$3.43K $0.61 6
2019 Q4 312K $322K -$215K $1.02 6
2019 Q3 741K $386K -$83.4K $0.52 8
2019 Q2 813K $918K -$11.3K $1.13 13
2019 Q1 822K $1.21M +$33.7K $1.47 12
2018 Q4 801K $1.07M +$22.6K $1.33 12
2018 Q3 788K $1.4M -$47.9K $1.78 14
2018 Q2 799K $1.68M -$167K $2.10 14
2018 Q1 887K $1.66M -$56.9K $1.88 15
2017 Q4 913K $1.9M -$14.7K $2.07 16
2017 Q3 920K $1.65M -$387K $1.79 13
2017 Q2 1.13M $2.05M +$607K $1.81 16
2017 Q1 713K $1.39M -$39.5K $1.93 11
2016 Q4 822K $1.35M -$26.1K $1.63 14
2016 Q3 838K $1.36M -$3.55K $1.63 15
2016 Q2 841K $1.3M -$27.7K $1.55 14
2016 Q1 858K $1.42M -$20.5K $1.64 16
2015 Q4 868K $1.63M +$23.4K $1.88 16
2015 Q3 856K $1.59M -$5.11K $1.85 15
2015 Q2 859K $2.03M -$33K $2.37 15
2015 Q1 871K $2.09M -$13.6K $2.38 15
2014 Q4 876K $2.36M +$7.92K $2.67 16
2014 Q3 875K $2.26M -$17.2K $2.61 15
2014 Q2 882K $2.89M -$83.8K $3.14 15
2014 Q1 909K $2.71M -$63.4K $3.00 16