CUTERA INC - COM (CUTR)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
10.6M
Holdings value Q2 2024
$16M
Value change Q2 2024
-$3.96M
Grand Portfolio weight change Q2 2024
0%
Number of holders
77
Number of buys Q2 2024
34
Number of sells Q2 2024
-55
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 10.6M $16M -$3.96M $1.51 79
2024 Q1 13.3M $19.5M -$10.9M $1.47 86
2023 Q4 17.3M $61M -$30.1M $3.53 100
2023 Q3 22.2M $134M +$1.57M $6.02 121
2023 Q2 22.2M $338M -$75.8M $15.13 118
2023 Q1 25.2M $595M -$74.1M $23.62 138
2022 Q4 25.5M $1.13B +$8.78M $44.22 178
2022 Q3 25.3M $1.15B +$37.5M $45.60 176
2022 Q2 24.2M $908M +$158M $37.50 162
2022 Q1 19.7M $1.36B +$30.9M $69.00 176
2021 Q4 19.1M $788M +$775K $41.32 163
2021 Q3 19M $886M +$1.93M $46.60 165
2021 Q2 18.9M $926M +$80M $49.03 148
2021 Q1 17.9M $539M +$66.9M $30.05 121
2020 Q4 15.8M $380M +$7.06M $24.11 116
2020 Q3 15.6M $296M -$2.26M $18.97 113
2020 Q2 16M $195M +$30M $12.17 115
2020 Q1 13.9M $181M -$26.3M $13.06 113
2019 Q4 13.8M $494M +$32.3M $35.81 138
2019 Q3 13M $380M +$10.6M $29.23 131
2019 Q2 12.7M $264M +$2.13M $20.78 111
2019 Q1 12.9M $227M -$4.12M $17.66 122
2018 Q4 13.2M $224M -$38M $17.02 135
2018 Q3 14.2M $461M -$15.5M $32.55 131
2018 Q2 14.3M $577M +$48.6M $40.30 149
2018 Q1 12.9M $646M -$14.6M $50.25 159
2017 Q4 13.3M $604M +$46.1M $45.35 167
2017 Q3 12.2M $504M -$3.87M $41.35 131
2017 Q2 12.4M $320M +$34.3M $25.90 113
2017 Q1 11.3M $233M +$33.2M $20.70 95
2016 Q4 10.8M $188M +$8.13M $17.35 90
2016 Q3 10.4M $123M -$846K $11.92 72
2016 Q2 10.4M $116M -$130K $11.21 73
2016 Q1 10.4M $117M -$175K $11.25 70
2015 Q4 10.5M $134M -$9.17M $12.79 66
2015 Q3 9.97M $130M -$12.9M $13.08 67
2015 Q2 10.7M $166M +$7.61M $15.48 75
2015 Q1 10.3M $133M +$6.6M $12.92 57
2014 Q4 9.77M $104M -$2.65M $10.68 47
2014 Q3 10M $101M -$1.63M $10.10 47
2014 Q2 10.2M $106M -$3.33M $10.39 50
2014 Q1 10.5M $117M +$1.85M $11.19 58