CHINA XD PLASTICS CO LTD - COM (CXDC) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2024

Type / Class
Equity / COM
Symbol
CXDC
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of CHINA XD PLASTICS CO LTD - COM (CXDC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2024 Q4 0 $0 -$351 0
2024 Q3 90 $351 $3.90 1
2024 Q2 90 $351 $3.90 1
2024 Q1 90 $351 +$351 $3.90 1
2021 Q4 0 $0 -$7,456,000 0
2021 Q3 16,377,372 $7,456,000 -$97,333 $0.45 11
2021 Q2 16,504,246 $9,736,000 -$338,240 $0.59 10
2021 Q1 16,867,277 $18,046,000 +$376,319 $1.06 11
2020 Q4 16,517,576 $16,351,000 -$253,793 $0.98 8
2020 Q3 16,767,611 $18,948,000 -$785,602 $1.12 9
2020 Q2 17,451,384 $20,067,000 -$70,452 $1.14 14
2020 Q1 17,500,606 $17,062,000 -$138,667 $0.96 9
2019 Q4 17,655,353 $31,607,000 +$28,454,636 $1.79 11
2019 Q3 1,759,566 $3,340,000 -$154,198 $1.90 9
2019 Q2 1,837,361 $3,865,000 -$443,100 $2.09 11
2019 Q1 2,026,218 $4,915,000 -$489,226 $2.43 13
2018 Q4 2,384,669 $4,210,000 -$1,474,013 $1.75 17
2018 Q3 5,010,144 $18,037,000 -$581,848 $3.60 17
2018 Q2 5,171,824 $17,044,000 -$815,892 $3.30 17
2018 Q1 5,407,180 $22,973,000 -$831,493 $4.25 17
2017 Q4 5,588,495 $25,707,000 +$162,214 $4.60 20
2017 Q3 5,551,792 $26,087,000 -$354,146 $4.70 20
2017 Q2 5,627,119 $26,441,000 -$200,299 $4.70 18
2017 Q1 5,667,856 $27,494,000 +$1,097,951 $4.85 22
2016 Q4 5,770,994 $23,086,000 -$1,081,932 $4.00 20
2016 Q3 5,966,285 $26,351,000 -$2,131,172 $4.41 22
2016 Q2 6,453,416 $20,600,000 -$156,103 $3.18 22
2016 Q1 6,507,106 $20,894,000 -$1,791,675 $3.22 24
2015 Q4 7,005,174 $30,857,000 +$522,657 $4.42 26
2015 Q3 6,944,062 $29,001,000 -$6,125,653 $4.18 28
2015 Q2 7,961,433 $48,011,000 -$2,467,488 $6.03 29
2015 Q1 8,380,428 $40,431,000 -$1,537,480 $4.85 31
2014 Q4 8,371,621 $45,429,000 -$1,135,003 $5.43 35
2014 Q3 7,879,503 $43,146,000 +$129,768 $5.47 32
2014 Q2 7,377,118 $61,890,356 +$12,230,098 $8.39 39
2014 Q1 5,981,974 $31,342,000 +$7,753,660 $5.23 28