Cryoport, Inc. - COM PAR $0.001 (CYRX)

Historical Portfolio Holders from Q3 2015 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM PAR $0.001
Shares, excl. options Q2 2024
49M
Holdings value Q2 2024
$338M
Value change Q2 2024
-$32.9M
Grand Portfolio weight change Q2 2024
0%
Number of holders
152
Number of buys Q2 2024
11
Number of sells Q2 2024
-13
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 Q3 3.32M $27M -$18.6M $8.11 26
2024 Q2 49M $338M -$32.9M $6.91 152
2024 Q1 51.1M $904M +$15.3M $17.70 142
2023 Q4 50.3M $779M +$77.6M $15.49 142
2023 Q3 45.4M $621M -$18.1M $13.71 154
2023 Q2 45.7M $788M +$19.9M $17.25 172
2023 Q1 44.4M $1.06B +$10.6M $24.00 173
2022 Q4 44.2M $767M -$12.9M $17.35 168
2022 Q3 43.7M $1.06B -$12.5M $24.36 189
2022 Q2 44.1M $1.37B +$39.2M $30.98 184
2022 Q1 42.6M $1.49B -$88.3M $34.91 194
2021 Q4 43M $2.54B +$114M $59.17 219
2021 Q3 40.9M $2.72B +$45.5M $66.51 212
2021 Q2 40.2M $2.54B -$19.9M $63.10 209
2021 Q1 40.8M $2.12B +$219M $52.01 207
2020 Q4 37M $1.62B +$80.9M $43.88 201
2020 Q3 35M $1.66B +$80.8M $47.40 175
2020 Q2 34.7M $1.05B +$91.6M $30.25 145
2020 Q1 31.9M $545M +$46.6M $17.07 109
2019 Q4 29.2M $480M +$45.1M $16.46 106
2019 Q3 26.4M $431M +$91.8M $16.35 105
2019 Q2 21M $385M +$99.1M $18.32 101
2019 Q1 16.3M $210M +$20.6M $12.92 84
2018 Q4 14.7M $162M +$2.42M $11.03 77
2018 Q3 14.3M $184M +$6.52M $12.81 84
2018 Q2 13.7M $217M +$97.3M $15.78 80
2018 Q1 7.89M $67.9M +$11.7M $8.60 67
2017 Q4 6.51M $56M +$16M $8.59 52
2017 Q3 4.62M $45.5M +$16.5M $9.85 41
2017 Q2 2.97M $14.6M +$4.64M $4.92 24
2017 Q1 2.16M $5.09M +$4.21M $2.36 17
2016 Q4 374K $1.21M +$347K $3.24 11
2016 Q3 256K $505K +$23.3K $1.98 10
2016 Q2 240K $497K +$232K $2.08 13
2016 Q1 128K $263K +$65.5K $2.05 9
2015 Q4 96.2K $196K -$71.5K $2.04 7
2015 Q3 128K $302K +$302K $2.37 9