ENTRAVISION COMMUNICATIONS CORP - CL A (EVC)

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
46.9M
Holdings value Q2 2024
$95.2M
Value change Q2 2024
+$1.1M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
89
Number of buys Q2 2024
49
Number of sells Q2 2024
-46
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 46.9M $95.2M +$1.1M $2.03 89
2024 Q1 46.6M $76.5M -$16.7M $1.64 95
2023 Q4 48.7M $203M -$1.92M $4.17 107
2023 Q3 49.8M $182M -$2.1M $3.65 108
2023 Q2 50.5M $221M +$2.33M $4.39 120
2023 Q1 48.8M $295M +$9.34M $6.05 112
2022 Q4 47.9M $230M +$1.54M $4.80 113
2022 Q3 46.8M $186M -$4.25M $3.97 112
2022 Q2 48.7M $222M -$1.87M $4.56 115
2022 Q1 47.9M $307M -$4.94M $6.41 121
2021 Q4 48.5M $328M +$4.87M $6.78 132
2021 Q3 48M $341M +$14M $7.10 112
2021 Q2 46.4M $310M +$16.3M $6.68 106
2021 Q1 45.7M $185M -$5.9M $4.04 93
2020 Q4 47.2M $130M +$3.29M $2.75 81
2020 Q3 46.1M $70M -$1.56M $1.52 71
2020 Q2 47.2M $67.4M -$3.75M $1.43 84
2020 Q1 49M $99.5M -$889K $2.03 84
2019 Q4 48.4M $127M -$2.6M $2.62 91
2019 Q3 49.5M $158M +$222K $3.18 91
2019 Q2 49.6M $155M +$2.06M $3.12 111
2019 Q1 49.9M $162M +$1.45M $3.24 106
2018 Q4 49.7M $145M -$22.7M $2.91 105
2018 Q3 54.1M $265M -$3.53M $4.90 126
2018 Q2 54.9M $274M -$6.05M $5.00 125
2018 Q1 56.4M $265M -$7.13M $4.70 131
2017 Q4 57.2M $409M +$33.6M $7.15 145
2017 Q3 53.6M $306M +$5.31M $5.70 122
2017 Q2 52.4M $346M +$6.79M $6.60 114
2017 Q1 51.2M $317M +$12.7M $6.20 119
2016 Q4 53M $371M -$6.7M $7.00 118
2016 Q3 54.2M $413M +$21.8M $7.63 113
2016 Q2 52M $350M -$1.52M $6.72 128
2016 Q1 52.1M $388M -$9.54M $7.44 132
2015 Q4 53.3M $411M -$7.01M $7.71 134
2015 Q3 52.5M $348M +$4.54M $6.64 124
2015 Q2 51.6M $425M +$18.8M $8.23 119
2015 Q1 49.7M $315M -$9.57M $6.33 105
2014 Q4 51.2M $332M +$32.6M $6.48 103
2014 Q3 48.1M $191M -$33.6M $3.96 101
2014 Q2 51.4M $320M +$10.7M $6.22 117
2014 Q1 51.5M $345M +$50.8M $6.70 123