DESTINATION XL GROUP, INC. - COM (DXLG)

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
47.7M
Holdings value Q2 2024
$174M
Value change Q2 2024
+$7.87M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
92
Number of buys Q2 2024
14
Number of sells Q2 2024
-21
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 4.94M $14.5M +$567K $2.94 27
2024 Q2 47.7M $174M +$7.87M $3.64 93
2024 Q1 45.5M $164M +$4.21M $3.60 96
2023 Q4 44.2M $195M +$2.7M $4.40 104
2023 Q3 43.6M $195M -$12.3M $4.48 114
2023 Q2 46.3M $227M -$7.28M $4.90 116
2023 Q1 48.4M $267M +$3.16M $5.51 130
2022 Q4 47.6M $321M +$25.6M $6.75 131
2022 Q3 42.2M $229M +$19.8M $5.42 107
2022 Q2 39.2M $133M +$18.6M $3.39 99
2022 Q1 35.4M $173M +$8.46M $4.88 92
2021 Q4 33.5M $190M +$34.4M $5.68 78
2021 Q3 27.3M $167M +$167M $6.12 53
2021 Q2 13K $64K -$14.8K $4.92 1
2021 Q1 16K $19K -$25K $1.19 1
2020 Q4 165K $44K -$2.66M $0.27 3
2020 Q3 19.2M $4.95M -$2.41M $0.26 33
2020 Q2 22.1M $14.4M -$4.02M $0.65 32
2020 Q1 29.2M $10.2M -$1.22M $0.35 34
2019 Q4 30.8M $39.4M -$1.13M $1.28 43
2019 Q3 31.5M $53.2M -$860K $1.69 41
2019 Q2 32M $56.3M -$983K $1.76 42
2019 Q1 32.4M $79.2M -$789K $2.45 50
2018 Q4 32.7M $70.9M -$2M $2.17 48
2018 Q3 33.6M $83.9M -$10.1M $2.50 47
2018 Q2 38.1M $85.7M -$2.73M $2.25 50
2018 Q1 39.7M $69.4M -$651K $1.75 50
2017 Q4 40M $87.9M +$4.69M $2.20 52
2017 Q3 37.8M $71.8M +$664K $1.90 54
2017 Q2 37.3M $87.7M -$3.41M $2.35 67
2017 Q1 38.5M $110M +$5.68M $2.85 70
2016 Q4 40.1M $171M -$705K $4.25 73
2016 Q3 40.4M $175M -$3.1M $4.33 69
2016 Q2 41.1M $188M +$1.97M $4.57 68
2016 Q1 40.5M $210M +$1.39M $5.17 71
2015 Q4 40.3M $223M -$58.5K $5.52 69
2015 Q3 40.3M $234M +$2.48M $5.81 72
2015 Q2 40M $201M -$4.79M $5.01 75
2015 Q1 41M $203M -$5.44M $4.94 69
2014 Q4 42.1M $230M +$6.27M $5.46 67
2014 Q3 40.9M $193M -$742K $4.72 68
2014 Q2 41.1M $226M -$1.29M $5.51 75
2014 Q1 41.3M $233M +$10.4M $5.64 81