CHIMERIX INC - COM (CMRX)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
37M
Holdings value Q2 2024
$32.4M
Value change Q2 2024
-$1.47M
Grand Portfolio weight change Q2 2024
0%
Number of holders
71
Number of buys Q2 2024
24
Number of sells Q2 2024
-32
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 Q2 37M $32.4M -$1.47M $0.88 71
2024 Q1 38.7M $41M -$2.19M $1.06 76
2023 Q4 40.2M $38.7M -$817K $0.96 74
2023 Q3 40.1M $38.5M +$1.13M $0.96 77
2023 Q2 39.1M $47.3M -$17.3M $1.21 92
2023 Q1 52.5M $66.2M -$658K $1.26 95
2022 Q4 52.2M $97.1M +$2.93M $1.86 103
2022 Q3 50.2M $96.9M -$2.94M $1.93 111
2022 Q2 51.1M $106M -$16.2M $2.08 113
2022 Q1 52.2M $239M -$14.6M $4.58 121
2021 Q4 55.1M $354M +$25.5M $6.43 117
2021 Q3 50.5M $312M +$23.3M $6.19 126
2021 Q2 44.5M $356M -$74.1M $8.00 106
2021 Q1 47.2M $501M +$231M $9.64 96
2020 Q4 28.7M $139M -$1.64M $4.83 87
2020 Q3 29.2M $72.8M +$1.48M $2.49 75
2020 Q2 28.4M $88.1M -$1.71M $3.10 80
2020 Q1 29.8M $42.9M -$2.79M $1.44 74
2019 Q4 31.5M $64M -$10M $2.03 79
2019 Q3 35.4M $83.1M -$12.7M $2.35 80
2019 Q2 38.9M $168M +$18.2M $4.32 82
2019 Q1 35.6M $74.7M -$4.73M $2.10 87
2018 Q4 37.4M $96M -$3.38M $2.57 88
2018 Q3 37.9M $148M +$7.62M $3.89 86
2018 Q2 35.9M $171M -$661K $4.76 96
2018 Q1 36M $187M -$88.6K $5.20 94
2017 Q4 36.3M $168M +$3.92M $4.63 93
2017 Q3 31M $163M +$7.09M $5.25 88
2017 Q2 29.7M $162M +$2.26M $5.45 96
2017 Q1 29.2M $186M +$5.28M $6.38 100
2016 Q4 31.8M $146M -$9.76M $4.60 103
2016 Q3 32.9M $182M +$10.9M $5.54 106
2016 Q2 31.3M $123M -$10.2M $3.93 112
2016 Q1 33.1M $169M -$30.5M $5.11 116
2015 Q4 34M $304M -$298M $8.95 135
2015 Q3 41.8M $1.6B +$49M $38.20 153
2015 Q2 39.9M $1.84B +$237M $46.20 154
2015 Q1 34.8M $1.31B +$30.1M $37.69 138
2014 Q4 34M $1.37B +$247M $40.26 128
2014 Q3 27.3M $755M +$106M $27.62 102
2014 Q2 25.3M $556M +$174M $21.94 90
2014 Q1 14.5M $331M +$54.4M $22.84 89