EVERSPIN TECHNOLOGIES INC - COM (MRAM)

Historical Portfolio Holders from Q4 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
9.79M
Holdings value Q3 2024
$57.8M
Value change Q3 2024
+$4.41K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
67
Number of buys Q3 2024
31
Number of sells Q3 2024
-34
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 9.79M $57.8M +$4.41K $5.90 68
2024 Q2 9.76M $58.5M -$2.6M $5.99 64
2024 Q1 9.81M $77.7M +$2.37M $7.92 72
2023 Q4 9.48M $85.7M +$1.33M $9.04 75
2023 Q3 9.17M $90.1M +$2.46M $9.83 62
2023 Q2 8.94M $82.5M +$6.62M $9.21 55
2023 Q1 8.34M $56.8M +$2.81M $6.81 50
2022 Q4 7.94M $44.1M +$1.05M $5.56 51
2022 Q3 7.7M $44.6M +$346K $5.79 51
2022 Q2 7.65M $40M -$4.81M $5.24 50
2022 Q1 8.18M $71.2M -$10M $8.71 61
2021 Q4 9.29M $105M +$50.9M $11.30 62
2021 Q3 5.18M $33.6M +$2.32M $6.48 37
2021 Q2 4.87M $31.3M -$549K $6.43 35
2021 Q1 4.96M $29.7M +$841K $6.00 29
2020 Q4 4.84M $22.3M -$1.42M $4.60 31
2020 Q3 5.07M $28.7M -$1.93M $5.67 30
2020 Q2 5.35M $37.6M +$1.54M $7.02 34
2020 Q1 5.62M $14.7M -$6.62M $2.62 29
2019 Q4 6.57M $34.5M -$147K $5.26 41
2019 Q3 6.58M $40.3M -$1.34M $6.13 41
2019 Q2 6.79M $44.3M -$595K $6.52 37
2019 Q1 6.87M $52.6M -$144K $7.66 41
2018 Q4 6.94M $38.9M +$68.4K $5.61 32
2018 Q3 6.71M $51.5M +$7.73M $7.68 32
2018 Q2 5.7M $50.8M -$547K $8.92 30
2018 Q1 5.84M $44.1M +$28.9M $7.55 30
2017 Q4 2.01M $15.1M -$9.34M $7.50 24
2017 Q3 2.42M $41.3M -$8.34M $17.09 27
2017 Q2 2.77M $55.4M +$28M $19.98 26
2017 Q1 1.47M $12.3M +$2.15M $8.38 19
2016 Q4 1.21M $10.1M +$9.09M $8.29 12