DENBURY RES INC - COM NEW (DNRCQ) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2025

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

Institutional Holders of DENBURY RES INC - COM NEW (DNRCQ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q1 0 $0 -$213,000 0
2024 Q4 12,986 $213,000 $16.40 1
2020 Q4 0 $0 -$4,000 0
2020 Q3 132,702 $4,000 -$64,583,655 $0.03 1
2020 Q2 234,413,172 $64,695,909 -$22,105,938 $0.28 145
2020 Q1 318,491,996 $58,827,714 -$29,935,926 $0.18 170
2019 Q4 357,191,585 $503,588,335 +$10,672,493 $1.41 197
2019 Q3 344,772,698 $410,072,905 -$14,192,771 $1.19 197
2019 Q2 356,622,692 $442,169,257 -$35,189,257 $1.24 213
2019 Q1 376,458,357 $771,730,157 -$64,905,229 $2.05 231
2018 Q4 412,376,690 $705,205,889 -$142,103,605 $1.71 248
2018 Q3 410,700,928 $2,546,282,854 +$133,923,799 $6.20 249
2018 Q2 397,988,177 $1,914,194,817 +$225,721,407 $4.81 233
2018 Q1 353,410,191 $968,464,799 +$74,985,219 $2.74 196
2017 Q4 326,441,003 $721,546,856 -$7,096,690 $2.21 188
2017 Q3 330,084,435 $441,842,105 -$37,046,911 $1.34 176
2017 Q2 356,367,576 $545,154,811 -$30,396,790 $1.53 178
2017 Q1 363,970,819 $939,417,737 +$139,966,199 $2.58 200
2016 Q4 351,196,490 $1,292,019,957 -$56,695,530 $3.68 229
2016 Q3 367,653,977 $1,186,635,307 -$30,653,576 $3.23 234
2016 Q2 375,715,700 $1,348,666,376 +$228,525,747 $3.59 230
2016 Q1 316,321,479 $701,841,956 -$116,844,414 $2.22 218
2015 Q4 373,486,494 $754,184,331 -$34,014,487 $2.02 240
2015 Q3 383,574,099 $936,484,380 -$25,153,094 $2.44 255
2015 Q2 374,396,067 $2,381,257,659 -$67,893,663 $6.36 281
2015 Q1 382,279,794 $2,786,964,091 -$26,696,322 $7.29 297
2014 Q4 384,129,092 $3,121,707,354 -$31,999,428 $8.13 359
2014 Q3 359,541,713 $5,403,615,292 +$136,199,262 $15.03 364
2014 Q2 334,946,609 $6,181,623,367 -$227,803,026 $18.46 367
2014 Q1 348,040,783 $5,708,920,410 +$101,214,794 $16.40 381