CHIMERA INVESTMENT CORP - COM (CIM)

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
5.5K
Holdings value Q3 2024
$87K
Value change Q3 2024
$0
Grand Portfolio weight change Q3 2024
0%
Number of holders
2
Number of buys Q3 2024
0
Number of sells Q3 2024
0
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 5.5K $87K $0 $9.42 2
2024 Q2 5.5K $70.4K -$141K $7.90 2
2024 Q1 16.5K $76K $0 $3.81 2
2023 Q4 16.5K $82.3K -$100 $4.00 2
2023 Q3 16.5K $90.1K +$109 $4.23 2
2023 Q2 16.5K $95.2K $0 $4.39 2
2023 Q1 16.5K $93K $0 $4.32 2
2022 Q4 16.5K $90.7K +$3.00 $4.25 2
2022 Q3 16.5K $86K $0 $5.22 1
2022 Q2 16.5K $145K $0 $8.79 1
2022 Q1 16.5K $199K $0 $12.07 1
2021 Q4 16.5K $249K $0 $15.10 1
2021 Q3 16.5K $245K $0 $14.86 1
2021 Q2 16.5K $248K -$4.82M $15.04 1
2021 Q1 396K $5.03M -$6.59M $12.69 2
2020 Q4 915K $9.38M -$16.4K $10.25 2
2020 Q3 917K $7.52M -$8.2K $8.19 2
2020 Q2 918K $8.81M -$1.34M $9.35 2
2020 Q1 1.06M $9.95M -$333K $9.10 5
2019 Q4 1.11M $22.9M -$137K $20.55 5
2019 Q3 1.1M $21.6M +$509K $19.56 4
2019 Q2 1.08M $20.3M +$364K $18.86 4
2019 Q1 1.06M $19.8M +$60.4K $18.74 3
2018 Q4 1.06M $18.8M +$1.04M $17.82 3
2018 Q3 997K $18.1M -$204K $18.14 3
2018 Q2 1.01M $18.4M -$64.1K $18.28 4
2018 Q1 1.01M $17.6M +$1.45M $17.42 4
2017 Q4 928K $17.2M -$713K $18.48 3
2017 Q3 967K $18.3M +$179K $18.92 3
2017 Q2 957K $17.8M -$38.2K $18.64 4
2017 Q1 958K $19.3M +$145K $20.18 4
2016 Q4 951K $16.2M -$611K $17.02 3
2016 Q3 987K $15.7M +$188K $15.95 4
2016 Q2 975K $15.3M -$9.13M $15.70 4
2016 Q1 1.64M $22.3M -$1.72M $13.59 5
2015 Q4 1.77M $24.1M +$2.87M $13.63 5
2015 Q3 1.56M $20.9M -$25.2M $13.37 4
2015 Q2 3.4M $46.6M -$1.6B $13.71 6
2015 Q1 468M $1.47B -$525M $3.14 205
2014 Q4 637M $2.03B -$168M $3.18 245
2014 Q3 688M $2.09B -$17.4M $3.04 238
2014 Q2 694M $2.21B -$19M $3.19 234
2014 Q1 701M $2.14B +$41.4M $3.06 234