DURECT CORP - COM (DRRX)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
315K
Holdings value Q2 2024
$406K
Value change Q2 2024
+$40.9K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
2
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 Q2 315K $406K +$40.9K $1.28 2
2024 Q1 284K $343K $0 $1.20 2
2023 Q4 13.4K $8K $0 $0.60 1
2023 Q3 13.4K $33K $0 $2.46 1
2023 Q2 129K $637K +$33.2K $4.93 2
2023 Q1 122K $518K +$196K $4.37 2
2022 Q4 90.6K $291K -$48.1M $3.43 3
2022 Q3 94.9M $54.5M -$1.37M $0.58 64
2022 Q2 97.3M $47.5M -$6.19M $0.48 77
2022 Q1 115M $77.1M -$311K $0.67 90
2021 Q4 115M $113M -$831K $0.99 98
2021 Q3 116M $148M -$1.74M $1.28 109
2021 Q2 117M $191M -$3.1M $1.63 113
2021 Q1 119M $235M +$14.2M $1.98 113
2020 Q4 112M $231M -$3.85M $2.07 109
2020 Q3 111M $190M -$5.45M $1.71 113
2020 Q2 114M $264M +$41.7M $2.32 110
2020 Q1 97.7M $151M +$5.63M $1.55 77
2019 Q4 91.9M $349M +$29.8M $3.80 77
2019 Q3 58M $106M -$19.4M $1.84 71
2019 Q2 86.9M $56.6M +$10.1M $0.65 65
2019 Q1 72.1M $45.1M -$1.36M $0.63 81
2018 Q4 74.4M $35.9M -$2.98M $0.48 84
2018 Q3 78.3M $86.1M -$117K $1.10 85
2018 Q2 77.7M $121M +$8.05M $1.56 100
2018 Q1 72.4M $155M +$13.5M $2.14 98
2017 Q4 66.2M $61M -$3.2M $0.92 86
2017 Q3 66.5M $118M -$931K $1.77 92
2017 Q2 67.5M $105M +$519K $1.56 80
2017 Q1 69.6M $73.1M +$7.89M $1.05 75
2016 Q4 71M $95.1M +$4.28M $1.34 88
2016 Q3 67.4M $93.6M +$1.19M $1.39 87
2016 Q2 67.7M $82.6M +$12.8M $1.22 83
2016 Q1 56.9M $76.8M -$4.99M $1.35 83
2015 Q4 59.6M $132M +$931K $2.21 87
2015 Q3 59M $115M -$983K $1.95 90
2015 Q2 59M $141M +$29.3M $2.39 87
2015 Q1 46.6M $89.2M +$4.5M $1.91 65
2014 Q4 47.8M $37.8M -$2.71M $0.79 57
2014 Q3 46.1M $67.8M -$1.12M $1.47 59
2014 Q2 46.8M $85.2M +$950K $1.82 67
2014 Q1 46.4M $61.8M -$7.07M $1.33 67