DoubleVerify Holdings, Inc. - COM (DV)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
126K
Holdings value Q3 2024
$9.49M
Value change Q3 2024
$0
Grand Portfolio weight change Q3 2024
0%
Number of holders
1
Number of buys Q3 2024
0
Number of sells Q3 2024
0
Average buys Q3 2024 %
0
Average sells Q3 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 126K $9.49M $0 $75.48 1
2024 Q2 126K $8.58M $0 $68.21 1
2024 Q1 126K $6.46M $0 $51.40 1
2023 Q4 126K $7.41M $0 $58.95 1
2023 Q3 126K $5.39M $0 $42.85 1
2023 Q2 126K $4.32M $0 $34.34 1
2023 Q1 126K $4.86M $0 $38.62 1
2022 Q4 126K $4.46M $0 $35.50 1
2022 Q3 126K $4.58M $0 $36.45 1
2022 Q2 126K $4.52M $0 $35.97 1
2022 Q1 126K $3.72M $0 $29.56 1
2021 Q4 126K $3.72M $0 $29.56 1
2021 Q3 126K $4.76M $0 $37.81 1
2021 Q2 126K $4.48M $0 $35.64 1
2021 Q1 126K $4.97M $0 $39.54 1
2020 Q4 126K $4.27M -$579K $33.95 1
2020 Q3 143K $3.5M $0 $24.54 1
2020 Q2 143K $4.45M $0 $31.15 1
2020 Q1 143K $3.83M $0 $26.79 1
2019 Q4 143K $4.99M $0 $34.97 1
2019 Q3 143K $5.44M $0 $38.09 1
2019 Q2 143K $6.43M $0 $45.05 1
2019 Q1 143K $6.61M $0 $46.32 1
2018 Q4 143K $6.76M $0 $47.32 1
2018 Q3 143K $6.08M $0 $42.56 1
2018 Q2 143K $6.08M +$638K $42.56 1
2018 Q1 128K $6.08M $0 $47.55 1
2017 Q4 128K $4.58M $0 $35.85 1
2017 Q3 128K $4.58M $0 $35.85 1
2017 Q2 128K $4.85M -$2.28B $37.95 1
2017 Q1 65.5M $2.32B +$268M $35.45 230
2016 Q4 64.3M $2B +$14.8M $31.20 235
2016 Q3 64.1M $1.48B -$13.6M $23.06 209
2016 Q2 65.3M $1.17B -$12.4M $17.84 193
2016 Q1 65.8M $1.14B -$51.3M $17.27 171
2015 Q4 67.4M $1.71B +$3M $25.31 165
2015 Q3 67.6M $1.84B +$56.4M $27.21 170
2015 Q2 65.4M $1.96B +$255M $29.98 183
2015 Q1 55.8M $1.86B -$119M $33.36 218
2014 Q4 57.4M $2.73B -$46.8M $47.47 239
2014 Q3 58.3M $2.5B +$17.3M $42.81 236
2014 Q2 57.3M $2.43B -$323M $42.34 243
2014 Q1 62.1M $2.63B +$133M $42.39 207