BlueLinx Holdings Inc. - COM NEW (BXC)

Historical Portfolio Holders from Q2 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q3 2024
7.55M
Holdings value Q3 2024
$796M
Value change Q3 2024
-$17.6M
Grand Portfolio weight change Q3 2024
0%
Number of holders
165
Number of buys Q3 2024
71
Number of sells Q3 2024
-83
Average buys Q3 2024 %
+0%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 7.55M $796M -$17.6M $105.42 166
2024 Q2 7.74M $720M +$500K $93.09 164
2024 Q1 7.68M $1B -$19M $130.24 180
2023 Q4 7.85M $889M -$7.95M $113.31 170
2023 Q3 7.95M $653M +$8.6M $82.09 164
2023 Q2 7.84M $735M -$24.3M $93.78 167
2023 Q1 8.08M $549M +$15.9M $67.96 151
2022 Q4 7.9M $561M +$11.1M $71.11 142
2022 Q3 7.67M $477M -$7.34M $62.10 151
2022 Q2 7.75M $518M -$6.66M $66.81 151
2022 Q1 7.79M $560M +$2.02M $71.88 158
2021 Q4 7.73M $739M +$19.9M $95.76 151
2021 Q3 7.4M $362M +$8.69M $48.88 123
2021 Q2 7.27M $366M +$44.3M $50.28 109
2021 Q1 6.38M $250M +$5.5M $39.19 87
2020 Q4 6.33M $185M +$806K $29.26 77
2020 Q3 6.68M $144M +$3.14M $21.53 62
2020 Q2 6.65M $57M -$5.41M $8.57 51
2020 Q1 7.81M $38.7M -$4.75M $4.95 57
2019 Q4 8.26M $118M -$7.16M $14.25 65
2019 Q3 7.98M $258M -$17.6M $32.33 73
2019 Q2 8.54M $169M +$17.3M $19.81 63
2019 Q1 7.67M $204M -$1.68M $26.64 72
2018 Q4 7.81M $193M +$25.3M $24.71 76
2018 Q3 6.03M $190M +$4.49M $31.49 92
2018 Q2 5.77M $216M +$30.4M $37.53 87
2018 Q1 4.79M $156M +$34.7M $32.59 60
2017 Q4 4.91M $47.9M -$23.6M $9.76 36
2017 Q3 6.74M $69.6M -$343K $10.33 25
2017 Q2 6.77M $74M +$51.6M $10.93 25
2017 Q1 2.06M $18.7M -$558K $9.10 19
2016 Q4 2.14M $16M +$821K $7.47 21
2016 Q3 2.03M $18M -$801K $8.88 19
2016 Q2 2.13M $15M +$15M $7.05 14