ENOVIS CORP - COMMON STOCK (CFX)

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / COMMON STOCK
Symbol
CFX
Price per share
$39.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1
Total reported value
$39
Share change
0
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ENOVIS CORP - COMMON STOCK (CFX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 1 $39 3,900% 1
2025 Q2 1 $39 3,900% 1
2025 Q1 1 $39 3,900% 1
2024 Q4 1 $39 3,900% 1
2024 Q3 1 $39 3,900% 1
2024 Q2 1 $39 3,900% 1
2024 Q1 1 $39 3,900% 1
2023 Q4 1 $39 3,900% 1
2023 Q3 1 $39 3,900% 1
2023 Q2 1 $39 3,900% 1
2023 Q1 1 $39 3,900% 1
2022 Q4 9,996 $398,039 +$398,039 3,941% 2
2022 Q3 154 $6,000 -$3,564,000 3,896.1% 1
2022 Q2 59,528 $2,369,000 -$5,132,793,910 3,980.06% 4
2022 Q1 129,050,463 $5,135,813,831 -$783,960,577 3,979% 243
2021 Q4 145,497,001 $6,688,053,222 -$233,504,379 4,597% 302
2021 Q3 148,355,200 $6,811,128,633 +$465,633,784 4,590% 262
2021 Q2 137,895,725 $6,317,141,169 +$271,232,888 4,580.97% 269
2021 Q1 132,061,311 $5,785,968,235 +$668,134,228 4,381% 308
2020 Q4 116,875,050 $4,470,150,472 -$97,645,692 3,824% 268
2020 Q3 119,876,889 $3,759,356,738 -$14,655,740 3,135.99% 252
2020 Q2 120,347,046 $3,358,330,263 +$98,122,068 2,789.99% 246
2020 Q1 119,153,831 $2,360,038,624 +$2,999,865 1,979.99% 219
2019 Q4 114,129,209 $4,152,161,165 -$89,872,387 3,638% 262
2019 Q3 116,835,275 $3,395,580,885 +$98,443,237 2,905.95% 223
2019 Q2 113,387,288 $3,177,558,579 +$99,471,344 2,802.97% 224
2019 Q1 109,960,991 $3,263,574,311 +$505,291,456 2,968% 231
2018 Q4 94,140,747 $1,968,410,713 -$23,912,732 2,090% 203
2018 Q3 95,532,753 $3,443,646,725 +$62,340,864 3,606% 199
2018 Q2 93,999,371 $2,881,004,279 -$23,667,624 3,065% 188
2018 Q1 94,917,811 $3,028,125,654 -$155,403,215 3,190% 195
2017 Q4 95,706,496 $3,792,596,626 +$84,791,160 3,962% 205
2017 Q3 93,063,618 $3,875,322,013 -$10,847,102 4,164% 234
2017 Q2 93,406,070 $3,677,534,203 -$61,174,492 3,937.01% 239
2017 Q1 95,002,935 $3,726,242,029 +$215,378,037 3,925.98% 216
2016 Q4 93,589,991 $3,363,217,156 -$74,922,981 3,593% 217
2016 Q3 95,665,165 $3,005,473,432 -$25,013,494 3,143% 193
2016 Q2 96,962,946 $2,565,726,602 -$64,495,734 2,646% 193
2016 Q1 99,115,653 $2,833,589,377 -$50,138,964 2,859% 188
2015 Q4 101,229,629 $2,363,657,920 -$269,980,954 2,335% 200
2015 Q3 109,753,195 $3,282,893,518 -$97,205,497 2,991% 203
2015 Q2 112,197,585 $5,177,885,568 +$79,571,584 4,615% 212
2015 Q1 110,222,413 $5,260,886,521 +$110,599,900 4,772.99% 196
2014 Q4 107,382,268 $5,537,603,962 +$385,288,436 5,156.98% 193
2014 Q3 99,096,841 $5,645,600,569 -$96,815,716 5,697% 208
2014 Q2 99,968,977 $7,450,579,219 +$76,690,806 7,453.97% 207
2014 Q1 99,013,914 $7,062,276,714 +$1,634,655,083 7,133% 200