DIXIE GROUP INC - CL A (DXYN)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A
Shares, excl. options Q2 2024
3.25M
Holdings value Q2 2024
$2.13M
Value change Q2 2024
-$142K
Grand Portfolio weight change Q2 2024
0%
Number of holders
33
Number of buys Q2 2024
5
Number of sells Q2 2024
-17
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 3.25M $2.13M -$142K $0.66 33
2024 Q1 3.47M $1.97M -$912K $0.57 35
2023 Q4 5.04M $3.75M +$108K $0.74 29
2023 Q3 4.94M $3.4M +$268K $0.69 31
2023 Q2 3.88M $5.16M -$6.66K $1.33 28
2023 Q1 3.9M $2.96M -$154K $0.76 27
2022 Q4 6.35M $4.98M +$388K $0.78 32
2022 Q3 5.72M $6.17M -$1.62M $1.08 30
2022 Q2 7.18M $9.19M -$246K $1.28 28
2022 Q1 7.35M $22.8M -$1.69M $3.10 31
2021 Q4 7.64M $43.8M +$886K $5.73 38
2021 Q3 7.56M $36.7M +$5.56M $4.86 35
2021 Q2 6.44M $18.9M +$213K $2.93 33
2021 Q1 6.36M $18.9M +$1.41M $2.97 31
2020 Q4 5.9M $15M +$2.14M $2.55 30
2020 Q3 5.06M $4.55M -$348K $0.90 26
2020 Q2 5.44M $5.03M -$412K $0.92 22
2020 Q1 5.9M $3.83M +$19.3K $0.65 24
2019 Q4 5.83M $6.64M +$492K $1.14 23
2019 Q3 4.31M $5.95M -$242K $1.38 23
2019 Q2 4.85M $2.82M -$1.51M $0.58 21
2019 Q1 6.9M $6.48M -$467K $0.94 23
2018 Q4 7.42M $5.24M -$1.03M $0.71 26
2018 Q3 8.8M $14.1M -$2.41M $1.60 30
2018 Q2 9.78M $22.5M -$686K $2.30 26
2018 Q1 10.2M $27.9M -$529K $2.75 30
2017 Q4 10.3M $39.8M +$715K $3.85 35
2017 Q3 10.1M $40.6M -$43.1K $4.00 35
2017 Q2 10.2M $45.5M +$495K $4.46 36
2017 Q1 10M $36.1M +$1.87M $3.60 38
2016 Q4 9.92M $35.7M -$334K $3.60 44
2016 Q3 9.95M $49.7M -$833K $5.00 40
2016 Q2 10.3M $36.5M -$3.17M $3.56 39
2016 Q1 11.1M $46.9M -$1.78M $4.21 41
2015 Q4 11.5M $60.1M -$6.43M $5.23 42
2015 Q3 11.2M $93.2M -$4.17M $8.36 52
2015 Q2 11.5M $121M +$3.4M $10.50 64
2015 Q1 11.2M $102M +$8.22M $9.05 54
2014 Q4 10.3M $94.6M -$2.51M $9.17 55
2014 Q3 9.81M $85M +$1.91M $8.67 58
2014 Q2 9.41M $99.6M +$11.3M $10.59 65
2014 Q1 7.73M $127M +$2.86M $16.42 66