CONTANGO OIL & GAS COMPANY - COM NEW (MCF) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2022

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

Institutional Holders of CONTANGO OIL & GAS COMPANY - COM NEW (MCF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q1 0 $0 -$97,000 0
2021 Q4 28,000 $97,000 -$233,810,886 $3.46 1
2021 Q3 51,424,136 $234,246,750 -$2,268,228 $4.57 112
2021 Q2 52,055,145 $224,554,875 +$29,653,579 $4.32 117
2021 Q1 45,311,775 $176,744,439 +$9,593,433 $3.90 100
2020 Q4 43,383,005 $99,352,439 +$3,612,817 $2.29 71
2020 Q3 46,454,877 $62,039,647 -$5,142,069 $1.34 63
2020 Q2 47,618,596 $108,968,829 +$22,450,547 $2.29 72
2020 Q1 38,319,960 $57,390,000 +$1,756,339 $1.50 58
2019 Q4 36,762,028 $133,022,004 +$55,871,947 $3.67 59
2019 Q3 21,059,721 $58,544,703 +$18,915,854 $2.78 33
2019 Q2 14,924,150 $25,967,440 -$2,012,788 $1.74 36
2019 Q1 15,735,008 $49,568,797 +$601,827 $3.15 46
2018 Q4 15,523,561 $50,464,822 +$7,364,856 $3.25 50
2018 Q3 12,664,609 $78,268,211 +$595,517 $6.18 57
2018 Q2 12,706,700 $72,178,698 -$13,654,975 $5.68 55
2018 Q1 17,233,807 $61,173,658 +$7,539,512 $3.55 59
2017 Q4 14,858,760 $69,990,708 -$22,729,556 $4.71 76
2017 Q3 19,475,289 $98,075,929 -$4,338,019 $5.03 95
2017 Q2 20,186,779 $134,015,558 +$392,448 $6.64 97
2017 Q1 20,109,734 $147,194,792 +$9,464,468 $7.32 106
2016 Q4 21,197,450 $197,949,168 +$2,587,905 $9.34 118
2016 Q3 20,847,817 $213,079,966 +$42,608,004 $10.22 121
2016 Q2 16,625,205 $203,492,230 -$8,010,793 $12.24 109
2016 Q1 17,302,640 $203,860,554 +$9,883,119 $11.79 92
2015 Q4 16,872,501 $108,152,429 -$1,561,844 $6.41 92
2015 Q3 16,819,941 $127,837,707 -$2,639,077 $7.60 95
2015 Q2 16,689,791 $204,711,581 -$16,128,982 $12.27 108
2015 Q1 17,335,928 $381,177,714 -$3,142,124 $22.00 107
2014 Q4 17,359,858 $507,519,084 +$12,947,959 $29.24 112
2014 Q3 16,809,652 $558,832,450 +$19,506,918 $33.24 121
2014 Q2 16,130,822 $682,344,300 +$53,352,496 $42.31 139
2014 Q1 14,810,010 $706,901,815 +$23,278,205 $47.74 121