COFFEE HOLDING CO INC - COM (JVA)

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
674K
Holdings value Q2 2024
$1.58M
Value change Q2 2024
+$68.8K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
18
Number of buys Q2 2024
8
Number of sells Q2 2024
-4
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 674K $1.58M +$68.8K $2.34 18
2024 Q1 653K $1.03M +$14.7K $1.58 17
2023 Q4 659K $599K -$249K $0.91 18
2023 Q3 936K $814K -$170K $0.87 21
2023 Q2 1.1M $1.53M -$73.1K $1.39 25
2023 Q1 1.15M $2.14M +$36.8K $1.87 25
2022 Q4 1.13M $2.3M -$62.5K $2.04 24
2022 Q3 1.17M $2.92M +$15.5K $2.50 21
2022 Q2 1.16M $2.84M -$390K $2.44 21
2022 Q1 1.26M $4.35M -$373K $3.45 20
2021 Q4 1.37M $5.99M -$661K $4.38 23
2021 Q3 1.52M $6.9M -$740K $4.55 24
2021 Q2 1.66M $8.89M -$364K $5.37 23
2021 Q1 1.73M $8.53M -$128K $4.94 24
2020 Q4 1.75M $6.73M +$302K $3.84 24
2020 Q3 1.67M $5.81M +$112K $3.48 21
2020 Q2 1.64M $4.91M -$180K $3.00 22
2020 Q1 1.71M $3.98M -$67.9K $2.33 21
2019 Q4 1.72M $7.91M +$138K $4.60 23
2019 Q3 1.61M $6.32M -$257K $3.92 27
2019 Q2 1.67M $6.84M -$446K $4.09 26
2019 Q1 1.73M $9.38M +$2.84M $5.41 30
2018 Q4 1.27M $4.47M -$259K $3.52 23
2018 Q3 1.34M $5.91M +$217K $4.42 25
2018 Q2 1.28M $6.93M +$574K $5.40 20
2018 Q1 1.18M $5.12M +$374K $4.34 21
2017 Q4 1.08M $4.62M +$106K $4.26 19
2017 Q3 1.06M $4.68M -$96.6K $4.44 15
2017 Q2 1.08M $4.8M +$94.9K $4.45 17
2017 Q1 1.05M $4.9M +$380K $4.65 21
2016 Q4 982K $4.57M -$3.56K $4.65 21
2016 Q3 978K $5.44M +$527K $5.56 21
2016 Q2 882K $4.98M +$538K $5.65 20
2016 Q1 806K $3.15M +$370K $3.90 22
2015 Q4 711K $2.74M +$493K $3.85 19
2015 Q3 583K $2.28M +$180K $3.91 17
2015 Q2 525K $2.61M +$148K $4.98 17
2015 Q1 496K $2.42M -$3.36K $4.87 15
2014 Q4 496K $2.54M -$233K $5.12 17
2014 Q3 533K $2.93M +$515K $5.49 19
2014 Q2 419K $2.96M -$1.12M $7.06 20
2014 Q1 563K $4.29M +$1.3M $7.61 19