Childrens Place, Inc. - COM (PLCE)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
10.1M
Holdings value Q3 2024
$156M
Value change Q3 2024
+$9.69M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
57
Number of buys Q3 2024
28
Number of sells Q3 2024
-53
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 10.1M $156M +$9.69M $15.48 63
2024 Q2 9.99M $81.3M -$25.1M $8.14 82
2024 Q1 12.7M $146M -$14M $11.54 97
2023 Q4 10.9M $253M -$22.7M $23.22 141
2023 Q3 11.5M $312M +$7.96M $27.03 140
2023 Q2 11.3M $263M -$80.7M $23.21 128
2023 Q1 13.9M $561M +$44.4M $40.25 159
2022 Q4 12.9M $468M +$1.28M $36.42 149
2022 Q3 12.9M $398M -$31.1M $30.89 149
2022 Q2 13.6M $530M -$4.6M $38.92 156
2022 Q1 13.6M $668M -$80.4M $49.30 185
2021 Q4 14.6M $1.16B -$42.6M $79.29 200
2021 Q3 15M $1.13B -$3.8M $75.26 179
2021 Q2 14.9M $1.39B -$4.7M $93.06 204
2021 Q1 15M $1.05B -$109M $69.70 175
2020 Q4 16.9M $845M -$39.6M $50.10 163
2020 Q3 18.2M $515M -$35.7M $28.35 139
2020 Q2 18.4M $687M -$31.3M $37.42 156
2020 Q1 20.1M $393M -$107M $19.56 139
2019 Q4 21.5M $1.35B -$59.3M $62.52 190
2019 Q3 21.8M $1.68B -$36.2M $76.99 197
2019 Q2 22M $2.1B +$50.2M $95.38 225
2019 Q1 21.9M $2.13B +$356M $97.28 226
2018 Q4 18.3M $1.65B -$214M $90.09 232
2018 Q3 20M $2.55B -$94.6M $127.80 247
2018 Q2 20.8M $2.51B +$5.41M $120.80 269
2018 Q1 20.8M $2.8B -$121M $135.25 266
2017 Q4 21.8M $3.16B -$150M $145.35 272
2017 Q3 22.4M $2.64B -$59.7M $118.15 244
2017 Q2 22.9M $2.33B +$23.3M $102.10 242
2017 Q1 22.5M $2.7B +$406M $120.05 257
2016 Q4 20.9M $2.11B -$15.6M $100.95 236
2016 Q3 21.8M $1.74B -$112M $79.87 219
2016 Q2 23.2M $1.86B +$168M $80.18 220
2016 Q1 20.3M $1.69B -$41M $83.47 202
2015 Q4 22.2M $1.22B -$55.2M $55.20 180
2015 Q3 22.9M $1.32B +$16.7M $57.67 173
2015 Q2 22.1M $1.45B -$53.6M $65.41 178
2015 Q1 22.7M $1.46B -$149M $64.19 180
2014 Q4 24M $1.37B +$4.07M $57.00 168
2014 Q3 25.5M $1.22B -$5.46M $47.66 174
2014 Q2 25.6M $1.27B +$90.9M $49.63 170
2014 Q1 23.8M $1.18B +$53.9M $49.81 168