CHIMERA INVESTMENT CORP - COM NEW (CIM)

Historical Portfolio Holders from Q1 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q3 2024
307
Holdings value Q3 2024
$4.86K
Value change Q3 2024
-$23.7K
Grand Portfolio weight change Q3 2024
0%
Number of holders
2
Number of buys Q3 2024
1
Number of sells Q3 2024
-3
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 307 $4.86K -$23.7K $15.83 2
2024 Q2 7.83K $51.7K -$542M $12.80 5
2024 Q1 118M $543M +$11.4M $4.61 240
2023 Q4 117M $583M +$63.3M $4.99 257
2023 Q3 104M $568M -$40.8M $5.46 239
2023 Q2 111M $641M +$8.96M $5.77 232
2023 Q1 112M $634M +$761K $5.64 236
2022 Q4 113M $621M -$6.44M $5.50 239
2022 Q3 114M $596M -$8.07M $5.22 235
2022 Q2 114M $1.01B -$14.3M $8.82 242
2022 Q1 116M $1.4B -$158M $12.04 263
2021 Q4 126M $1.9B +$14.9M $15.08 279
2021 Q3 125M $1.85B +$39.1M $14.85 262
2021 Q2 122M $1.84B +$157M $15.06 244
2021 Q1 112M $1.42B +$305K $12.70 243
2020 Q4 111M $1.14B -$51.6M $10.25 248
2020 Q3 116M $951M -$13.8M $8.20 236
2020 Q2 115M $1.1B +$287M $9.61 252
2020 Q1 87.7M $800M -$92.3M $9.10 267
2019 Q4 92.4M $1.9B -$61.3M $20.56 284
2019 Q3 95.5M $1.87B -$42.3M $19.56 270
2019 Q2 97.6M $1.84B +$1.01M $18.87 266
2019 Q1 98.3M $1.84B +$39.5M $18.74 268
2018 Q4 91.7M $1.64B +$13.3M $17.82 247
2018 Q3 90.5M $1.64B +$29.1M $18.13 261
2018 Q2 90.2M $1.65B -$22.8M $18.28 254
2018 Q1 91.6M $1.59B -$52.8M $17.41 258
2017 Q4 94.3M $1.74B -$51.4M $18.48 255
2017 Q3 96.5M $1.82B -$17.5M $18.92 251
2017 Q2 97.6M $1.81B -$104M $18.63 246
2017 Q1 102M $2.06B +$313M $20.18 245
2016 Q4 99.4M $1.69B +$58.7M $17.02 261
2016 Q3 96.4M $1.54B -$63.6M $15.95 238
2016 Q2 101M $1.58B +$4.96M $15.70 233
2016 Q1 99.9M $1.36B -$122M $13.59 210
2015 Q4 109M $1.49B -$3M $13.64 208
2015 Q3 109M $1.46B -$103M $13.37 199
2015 Q2 118M $1.62B +$1.09B $13.71 195
2015 Q1 38.7M $122M +$122M $3.14 21