DESWELL INDUSTRIES INC - COM (DSWL)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
368K
Holdings value Q2 2024
$912K
Value change Q2 2024
+$130K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
10
Number of buys Q2 2024
0
Number of sells Q2 2024
0
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 6.54K $16.2K $0 $2.47 2
2024 Q2 368K $912K +$130K $2.48 10
2024 Q1 388K $868K -$44.3K $2.24 9
2023 Q4 406K $1.07M +$7.92K $2.65 11
2023 Q3 404K $956K +$5.22K $2.37 12
2023 Q2 400K $1.09M -$14.1K $2.73 9
2023 Q1 406K $1.08M +$28.6K $2.65 12
2022 Q4 402K $1.25M +$12.7K $3.11 11
2022 Q3 397K $1.23M -$35.5K $3.09 8
2022 Q2 409K $1.33M -$57.8K $3.32 7
2022 Q1 425K $1.56M -$46.4K $3.67 9
2021 Q4 434K $1.67M -$95K $3.86 8
2021 Q3 460K $1.63M -$152K $3.56 8
2021 Q2 495K $2.36M +$142K $4.77 10
2021 Q1 468K $1.65M -$66.7K $3.53 7
2020 Q4 489K $1.43M +$42.9K $2.93 10
2020 Q3 395K $1.07M +$57.1K $2.71 8
2020 Q2 453K $1.12M +$52.2K $2.45 8
2020 Q1 454K $1.01M -$415K $2.22 7
2019 Q4 636K $1.71M -$131K $2.68 8
2019 Q3 687K $1.82M +$117K $2.63 10
2019 Q2 642K $1.79M -$68.9K $2.78 8
2019 Q1 664K $1.99M -$117K $2.99 11
2018 Q4 703K $2.12M -$200K $3.01 12
2018 Q3 768K $2.69M -$20.1K $3.50 10
2018 Q2 774K $2.62M -$13.8K $3.38 9
2018 Q1 781K $2.44M +$149K $3.12 12
2017 Q4 735K $2M +$500K $2.72 12
2017 Q3 550K $1.45M +$173K $2.64 9
2017 Q2 495K $1.09M +$99.8K $2.19 8
2017 Q1 449K $875K +$8.27K $1.95 5
2016 Q4 446K $793K +$44.7K $1.77 6
2016 Q3 421K $741K +$26.2K $1.76 6
2016 Q2 1.1M $1.73M -$2.96K $1.57 8
2016 Q1 1.1M $1.86M -$814K $1.70 7
2015 Q4 1.73M $2.51M +$88K $1.43 11
2015 Q3 1.58M $2.43M -$28.6K $1.55 9
2015 Q2 1.59M $2.86M -$304K $1.80 9
2015 Q1 1.75M $3.22M -$236K $1.84 11
2014 Q4 1.88M $3.39M -$25K $1.80 13
2014 Q3 1.69M $3.71M +$2.54K $2.19 12
2014 Q2 1.7M $3.49M -$342K $2.06 12
2014 Q1 1.86M $3.85M +$61.2K $2.07 16