EZCORP INC - CL A NON VTG (EZPW)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A NON VTG
Shares, excl. options Q2 2024
59M
Holdings value Q2 2024
$618M
Value change Q2 2024
-$25.6M
Grand Portfolio weight change Q2 2024
0%
Number of holders
188
Number of buys Q2 2024
83
Number of sells Q2 2024
-87
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 59M $618M -$25.6M $10.47 189
2024 Q1 61.1M $693M +$20.6M $11.33 186
2023 Q4 57M $498M +$8M $8.74 178
2023 Q3 57.9M $478M -$8.18M $8.25 173
2023 Q2 59.1M $495M -$16.7M $8.38 195
2023 Q1 60.8M $523M +$46.2M $8.60 181
2022 Q4 55.6M $453M +$39.9M $8.15 178
2022 Q3 50.4M $389M -$2.58M $7.71 154
2022 Q2 50.3M $378M +$9.34M $7.51 144
2022 Q1 49.8M $300M -$7.53M $6.04 154
2021 Q4 50.5M $372M +$12.2M $7.37 149
2021 Q3 47.9M $362M +$9.77M $7.57 144
2021 Q2 47.2M $284M +$8.91M $6.03 137
2021 Q1 45.7M $227M -$2.3M $4.97 133
2020 Q4 46.2M $221M -$10.5M $4.79 132
2020 Q3 45.7M $230M -$11.9M $5.03 138
2020 Q2 49.7M $313M +$9.93M $6.30 144
2020 Q1 48.1M $200M -$18.5M $4.17 124
2019 Q4 50.9M $347M -$10.1M $6.82 156
2019 Q3 52.1M $336M -$13.5M $6.46 156
2019 Q2 54.5M $516M -$2.75M $9.47 159
2019 Q1 55.1M $513M +$3.84M $9.32 162
2018 Q4 54.9M $425M -$13.1M $7.73 171
2018 Q3 56.1M $599M -$27M $10.70 160
2018 Q2 57.9M $698M +$51.2M $12.05 165
2018 Q1 54.4M $717M +$24.5M $13.20 156
2017 Q4 52.1M $636M +$36M $12.20 146
2017 Q3 49.4M $471M +$42.7M $9.50 144
2017 Q2 45.9M $353M +$14M $7.70 148
2017 Q1 44M $359M +$44.2M $8.15 138
2016 Q4 45.1M $480M +$4.56M $10.65 152
2016 Q3 44M $486M +$36.8M $11.06 147
2016 Q2 41.6M $315M +$13M $7.56 145
2016 Q1 39.4M $117M -$10.3M $2.97 131
2015 Q4 44.1M $220M -$7.94M $4.99 145
2015 Q3 44.7M $276M +$892K $6.17 142
2015 Q2 43.8M $325M -$25.4M $7.43 146
2015 Q1 47M $430M +$4.79M $9.13 141
2014 Q4 46.4M $545M -$6.42M $11.75 136
2014 Q3 47.3M $468M +$6.98M $9.91 142
2014 Q2 46.4M $535M +$64.5M $11.55 154
2014 Q1 40.5M $437M -$19.5M $10.79 142