Everi Holdings Inc. - COM (EVRI)

Historical Portfolio Holders from Q3 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
71.6M
Holdings value Q3 2024
$940M
Value change Q3 2024
+$54M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
199
Number of buys Q3 2024
93
Number of sells Q3 2024
-118
Average buys Q3 2024 %
+0.004%
Average sells Q3 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 71.6M $940M +$54M $13.14 199
2024 Q2 72.6M $610M -$41.6M $8.40 198
2024 Q1 76M $763M +$6.95M $10.05 206
2023 Q4 75.1M $847M -$29.7M $11.27 220
2023 Q3 75.5M $998M -$29.1M $13.22 217
2023 Q2 77.3M $1.12B -$6.95M $14.46 229
2023 Q1 77.4M $1.33B +$41.4M $17.15 206
2022 Q4 75.5M $1.08B -$40.8M $14.35 230
2022 Q3 78.4M $1.27B -$27.7M $16.22 207
2022 Q2 79.6M $1.3B -$29.4M $16.31 211
2022 Q1 81.1M $1.7B +$1.71M $21.00 230
2021 Q4 81.1M $1.73B -$26.3M $21.35 220
2021 Q3 81.7M $1.98B +$47.7M $24.18 206
2021 Q2 79.7M $1.99B +$85.6M $24.94 208
2021 Q1 77.1M $1.09B +$15.4M $14.11 162
2020 Q4 81.1M $1.12B +$53.7M $13.81 171
2020 Q3 77.1M $637M +$27.4M $8.25 154
2020 Q2 74.4M $384M -$7.66M $5.16 150
2020 Q1 78.6M $257M -$108M $3.30 148
2019 Q4 82.2M $1.1B +$190M $13.43 185
2019 Q3 68.3M $578M -$12.4M $8.46 155
2019 Q2 69.5M $829M +$37.6M $11.93 163
2019 Q1 68.3M $718M +$42.1M $10.52 155
2018 Q4 65.9M $340M +$1.56M $5.15 138
2018 Q3 62.3M $573M +$10.1M $9.17 132
2018 Q2 61.9M $446M +$12.8M $7.20 142
2018 Q1 60.2M $395M -$6.95M $6.57 148
2017 Q4 61.8M $466M +$8.97M $7.54 149
2017 Q3 57.2M $434M +$2.11M $7.59 124
2017 Q2 57M $415M +$82.5M $7.28 124
2017 Q1 47.5M $228M +$48.8M $4.79 103
2016 Q4 40.1M $86.9M +$4.1M $2.17 84
2016 Q3 38.1M $94.2M +$4.1M $2.47 82
2016 Q2 38.1M $43.8M -$21.2M $1.15 91
2016 Q1 46.7M $107M -$16.5M $2.29 108
2015 Q4 61.1M $268M -$18.5M $4.39 121
2015 Q3 62.7M $322M +$322M $5.13 119