CEL SCI CORP - COM PAR NEW (CVM)

Historical Holders from Q4 2016 to Q2 2025

Symbol
CVM on NYSE
Type / Class
Equity / COM PAR NEW
All holders as of 30 Jun 2025
Q2 2025
Total 13F shares, excl. options
0
Holdings value
$0
Number of holders
0
Number of sells
-48
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of CEL SCI CORP - COM PAR NEW (CVM)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q2 0 $0 -$1,734,324 0
2025 Q1 7,481,182 $1,734,607 -$67,618 $0.2304 49
2024 Q4 6,880,290 $2,750,648 +$244,151 $0.3999 61
2024 Q3 5,957,163 $6,314,906 -$309,978 $1.06 64
2024 Q2 6,221,809 $7,219,227 -$2,467,669 $1.16 68
2024 Q1 7,523,259 $14,364,731 +$1,840,022 $1.91 77
2023 Q4 6,585,944 $17,907,694 +$3,391,193 $2.72 72
2023 Q3 5,425,037 $6,785,267 -$203,393 $1.25 65
2023 Q2 5,491,984 $13,236,309 -$327,677 $2.41 61
2023 Q1 5,643,345 $13,090,654 -$496,945 $2.32 60
2022 Q4 5,852,758 $13,755,289 -$1,647,565 $2.35 71
2022 Q3 6,458,823 $19,970,539 -$4,295,619 $3.09 65
2022 Q2 7,666,616 $34,489,160 -$25,030,876 $4.5 75
2022 Q1 13,532,848 $53,231,997 -$9,125,516 $3.93 102
2021 Q4 15,561,556 $110,541,560 -$4,264,181 $7.1 97
2021 Q3 16,078,514 $176,848,227 +$26,206,748 $10.99 98
2021 Q2 13,898,561 $120,605,364 -$1,760,529 $8.68 105
2021 Q1 13,709,067 $208,527,002 +$23,561,492 $15.21 105
2020 Q4 12,371,710 $144,283,621 +$4,549,772 $11.66 102
2020 Q3 11,939,974 $152,242,449 -$10,893,747 $12.75 99
2020 Q2 12,772,271 $190,571,075 +$49,356,760 $14.92 91
2020 Q1 9,499,519 $109,642,061 +$21,982,859 $11.54 82
2019 Q4 7,634,798 $69,843,336 +$4,604,935 $9.15 68
2019 Q3 7,262,681 $64,923,572 +$13,070,027 $8.94 67
2019 Q2 5,806,816 $48,654,259 +$23,937,645 $8.38 56
2019 Q1 3,109,389 $11,007,494 +$2,402,952 $3.54 31
2018 Q4 2,435,753 $6,990,212 +$1,762,061 $2.87 24
2018 Q3 1,791,344 $7,255,709 +$2,319,278 $4.05 22
2018 Q2 2,427,337 $2,232,388 +$1,671,606 $0.9196 17
2018 Q1 609,803 $859,595 -$221,230 $1.41 12
2017 Q4 710,727 $1,268,797 -$536,063 $1.89 12
2017 Q3 1,044,577 $1,733,700 +$1,075,827 $1.66 11
2017 Q2 363,735 $810,941 +$789,316 $2.23 10
2017 Q1 9,700 $830 $0.0856 1
2016 Q4 9,700 $652 $0.0672 1