COLONY NORTHSTAR INC - CL A COM (CLNS)

Historical Holders from Q1 2016 to Q2 2021

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

Institutional Holders of COLONY NORTHSTAR INC - CL A COM (CLNS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2021 Q2 0 $0 -$1,207,000 0
2021 Q1 186,218 $1,207,000 -$1,023,781 $6.48 2
2020 Q4 344,218 $939,000 $2.73 2
2020 Q3 344,218 $939,000 -$272,826 $2.73 2
2020 Q2 444,218 $1,066,000 -$306,114 $2.40 2
2020 Q1 571,915 $1,001,000 +$174,946 $1.75 3
2019 Q4 471,915 $2,242,000 -$75,000 $4.75 3
2019 Q3 484,357 $2,436,000 $5.51 4
2019 Q2 484,357 $2,421,000 +$51,000 $4.99 4
2019 Q1 473,915 $2,522,000 -$155,375 $5.39 4
2018 Q4 504,643 $2,362,000 -$951,622 $4.70 4
2018 Q3 699,542 $4,262,000 -$3,059,414 $6.09 5
2018 Q2 1,232,621 $7,428,000 -$2,362,959,311 $6.17 8
2018 Q1 422,678,448 $2,375,768,985 -$450,122,287 $5.62 354
2017 Q4 447,906,351 $5,110,517,196 -$112,418,660 $11.41 397
2017 Q3 455,536,287 $5,721,483,316 +$12,016,933 $12.56 378
2017 Q2 454,973,874 $6,410,684,213 +$286,573,683 $14.09 380
2017 Q1 455,454,844 $5,884,711,739 +$5,878,194,706 $12.91 365
2016 Q4 253,683 $3,636,000 +$3,623,000 $14.92 4
2016 Q3 10,257 $129,000 -$34,000 $12.58 1
2016 Q1 2,622 $34,000 $12.97 1