CTS CORP - COM (CTS)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
29.9M
Holdings value Q2 2024
$1.51B
Value change Q2 2024
+$8.83M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
208
Number of buys Q2 2024
20
Number of sells Q2 2024
-24
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 Q3 1.12M $54.2M -$9.87M $48.38 57
2024 Q2 29.9M $1.51B +$8.83M $50.63 208
2024 Q1 29.8M $1.39B -$1.36M $46.79 190
2023 Q4 29.8M $1.31B +$31.3M $43.74 196
2023 Q3 29.1M $1.22B -$7.6M $41.74 195
2023 Q2 29.3M $1.25B -$54.3M $42.63 195
2023 Q1 30.5M $1.51B +$10.9M $49.46 197
2022 Q4 30.3M $1.2B -$17.1M $39.42 194
2022 Q3 30.7M $1.28B -$81.1M $41.65 188
2022 Q2 29.5M $1.01B +$6.16M $34.05 177
2022 Q1 29.5M $1.04B +$6.4M $35.34 156
2021 Q4 29.3M $1.08B +$4.18M $36.72 175
2021 Q3 29.1M $900M -$3.37M $30.91 159
2021 Q2 29.2M $1.08B -$32.6M $37.16 163
2021 Q1 30.2M $937M -$9.27M $31.06 148
2020 Q4 30.5M $1.05B +$3.41M $34.33 138
2020 Q3 30.5M $672M +$4.99M $22.03 128
2020 Q2 30.3M $607M -$13.2M $20.04 132
2020 Q1 30.6M $761M -$8.42M $24.89 129
2019 Q4 30.9M $926M +$270K $30.01 138
2019 Q3 30.8M $995M -$7.6M $32.36 141
2019 Q2 31.1M $858M -$2.82M $27.58 142
2019 Q1 31.4M $921M +$7.22M $29.37 150
2018 Q4 31.1M $805M -$14.5M $25.89 151
2018 Q3 31.5M $1.08B -$8.83M $34.30 144
2018 Q2 31.8M $1.14B +$6.89M $36.00 142
2018 Q1 31.7M $861M +$2.58M $27.20 124
2017 Q4 31.6M $813M +$6.89M $25.75 122
2017 Q3 31.3M $754M +$5.5M $24.10 113
2017 Q2 31.1M $671M +$47.1M $21.60 115
2017 Q1 30.7M $654M +$78.5M $21.30 110
2016 Q4 30.7M $687M -$5.27M $22.40 118
2016 Q3 30.9M $575M +$8.1M $18.60 104
2016 Q2 30.5M $546M +$16.8M $17.92 112
2016 Q1 30.3M $477M +$142K $15.74 112
2015 Q4 30.2M $534M -$2.38M $17.64 117
2015 Q3 30.5M $564M +$14.4M $18.51 114
2015 Q2 29.5M $568M -$4.03M $19.27 110
2015 Q1 29.6M $532M +$1.57M $17.99 108
2014 Q4 29.6M $527M -$7.45M $17.83 113
2014 Q3 29.6M $470M -$2.95M $15.89 109
2014 Q2 29.7M $555M -$332K $18.70 118
2014 Q1 29.7M $619M +$17.4M $20.88 115