CONTINENTAL AG - ADR (CTTAY)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / ADR
Shares, excl. options Q2 2024
685K
Holdings value Q2 2024
$3.85M
Value change Q2 2024
+$11.2K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
7
Number of buys Q2 2024
2
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 685K $3.85M +$11.2K $5.62 7
2024 Q1 683K $4.89M -$5.14K $7.16 8
2023 Q4 684K $5.78M -$210K $8.45 7
2023 Q3 711K $4.99M +$4.56M $7.02 9
2023 Q2 61.6K $464K -$4.88M $7.53 7
2023 Q1 717K $5.34M +$183K $7.49 7
2022 Q4 693K $4.13M -$791K $5.97 6
2022 Q3 804K $3.62M -$47.5K $4.41 5
2022 Q2 815K $5.67M +$1.78M $6.96 7
2022 Q1 558K $4.06M +$877K $7.26 7
2021 Q4 315K $3.32M -$2.36M $10.51 8
2021 Q3 498K $5.48M +$3.9M $10.98 7
2021 Q2 144K $2.12M -$19.9M $13.78 6
2021 Q1 1.63M $21.8M +$2.57M $13.24 7
2020 Q4 1.44M $21.5M +$130K $15.00 4
2020 Q3 1.43M $15.5M -$1.24M $10.81 4
2020 Q2 1.55M $15.1M -$2.53M $9.77 4
2020 Q1 1.81M $12.7M +$3.19M $7.01 5
2019 Q4 1.3M $16.7M -$70.3K $12.78 8
2019 Q3 1.31M $16.7M +$197K $12.81 8
2019 Q2 1.29M $18.8M +$2.14M $14.52 9
2019 Q1 1.14M $17.2M +$1.39M $14.96 11
2018 Q4 1.05M $14.5M +$4.83M $14.07 8
2018 Q3 673K $23.4M +$195K $34.76 12
2018 Q2 731K $33.3M -$964K $45.52 13
2018 Q1 753K $41.5M -$192K $55.18 13
2017 Q4 757K $40.8M +$2.97M $53.98 12
2017 Q3 701K $35.7M +$6.22M $50.78 11
2017 Q2 619K $26.8M -$50.1K $43.40 11
2017 Q1 620K $27.3M -$1.89M $43.96 9
2016 Q4 674K $26M +$211K $38.50 9
2016 Q3 662K $28M -$4.91K $42.32 13
2016 Q2 662K $25.1M -$7.51M $37.92 11
2016 Q1 845K $38.4M +$2.5M $45.35 15
2015 Q4 790K $38.2M +$17.6M $48.11 13
2015 Q3 426K $18.1M -$20.7M $42.41 9
2015 Q2 816K $38.9M +$12.5M $47.79 11
2015 Q1 953K $45M +$6.66M $47.22 11
2014 Q4 812K $34M +$693K $41.84 8
2014 Q3 745K $28.2M +$867K $37.87 7
2014 Q2 722K $33.6M +$4.69M $46.56 8
2014 Q1 621K $29.8M +$2.3M $47.96 6