COMSTOCK RESOURCES INC - COM (CRK)

Historical Portfolio Holders from Q4 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
92.1M
Holdings value Q3 2024
$1.03B
Value change Q3 2024
-$71.8M
Grand Portfolio weight change Q3 2024
0%
Number of holders
236
Number of buys Q3 2024
87
Number of sells Q3 2024
-135
Average buys Q3 2024 %
+0.001%
Average sells Q3 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 92.1M $1.03B -$71.8M $11.13 241
2024 Q2 99.9M $1.04B -$19.2M $10.38 257
2024 Q1 102M $948M +$22.7M $9.28 249
2023 Q4 101M $891M +$53.6M $8.85 247
2023 Q3 93.4M $1.03B +$31.5M $11.03 237
2023 Q2 90.6M $1.05B +$15.1M $11.60 234
2023 Q1 89.9M $970M +$38.1M $10.79 239
2022 Q4 84.2M $1.15B +$6.45M $13.71 236
2022 Q3 82.3M $1.43B +$77.8M $17.29 212
2022 Q2 78.9M $955M +$68.4M $12.08 202
2022 Q1 73.7M $961M -$17.1M $13.05 179
2021 Q4 78.7M $637M +$88.6M $8.09 171
2021 Q3 62.5M $646M -$28.8M $10.35 157
2021 Q2 67.2M $448M +$147M $6.67 137
2021 Q1 45.5M $252M -$1.16M $5.54 116
2020 Q4 48M $210M -$21.1M $4.37 116
2020 Q3 53.4M $234M +$57.3M $4.38 120
2020 Q2 40.3M $176M +$149M $4.38 115
2020 Q1 5.98M $32.2M +$1.3M $5.39 71
2019 Q4 5.54M $45.6M -$3.41M $8.23 72
2019 Q3 6.14M $47.8M +$458K $7.79 73
2019 Q2 6.29M $35.1M -$6.98M $5.57 65
2019 Q1 7.23M $50.1M -$3.02M $6.93 58
2018 Q4 7.66M $34.7M +$3.75M $4.53 54
2018 Q3 6.32M $53.1M -$550K $8.38 58
2018 Q2 6.2M $65.1M -$3.12M $10.51 48
2018 Q1 7.19M $52.6M -$688K $7.31 66
2017 Q4 7.14M $60.4M -$4.17M $8.46 58
2017 Q3 8.11M $49.3M -$2.94M $6.08 54
2017 Q2 8.14M $57.5M +$2.82M $7.07 47
2017 Q1 7.65M $70.6M +$2.49M $9.23 54
2016 Q4 7.7M $76.1M +$22.9M $9.85 61
2016 Q3 5.41M $41.3M +$41.3M $7.64 42
2016 Q2 28.6K $23K +$23K $0.80 1
2016 Q1 0 $0 -$14K 0
2015 Q4 7.8K $14K $0 $1.79 1