FIRST OF LONG ISLAND CORP - COM (FLIC)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
12.2M
Holdings value Q3 2024
$157M
Value change Q3 2024
-$136K
Grand Portfolio weight change Q3 2024
0%
Number of holders
104
Number of buys Q3 2024
46
Number of sells Q3 2024
-42
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 12.2M $157M -$136K $12.87 104
2024 Q2 12.2M $123M +$6.94M $10.02 106
2024 Q1 11.5M $127M +$6.11M $11.09 108
2023 Q4 10.9M $144M -$8.63M $13.24 100
2023 Q3 11.5M $133M -$2.31M $11.51 93
2023 Q2 11.8M $141M -$1.11M $12.02 97
2023 Q1 11.8M $159M -$11M $13.50 106
2022 Q4 12.5M $225M -$7.83M $18.00 105
2022 Q3 12.9M $223M -$4.48M $17.24 110
2022 Q2 13.1M $230M -$5.06M $17.53 102
2022 Q1 13.4M $261M +$1.54M $19.46 106
2021 Q4 13.3M $287M -$5.31M $21.59 102
2021 Q3 13.5M $278M -$625K $20.60 96
2021 Q2 13.5M $286M -$2.66M $21.23 105
2021 Q1 13.6M $289M +$4.05M $21.25 104
2020 Q4 13.4M $240M -$1.72M $17.85 101
2020 Q3 13.6M $202M -$5.51M $14.81 104
2020 Q2 13.9M $225M +$7.48M $16.34 99
2020 Q1 13.5M $234M +$3.54M $17.35 101
2019 Q4 13.2M $332M -$5.13M $25.08 98
2019 Q3 13.5M $306M -$14.2M $22.75 103
2019 Q2 14.1M $284M +$16.4M $20.08 99
2019 Q1 13.6M $298M -$12M $21.93 94
2018 Q4 14M $280M +$3.86M $19.95 94
2018 Q3 14M $305M -$10.3M $21.75 95
2018 Q2 14.4M $358M +$8.43M $24.85 102
2018 Q1 14M $385M +$18.3M $27.45 95
2017 Q4 13.4M $381M +$4.27M $28.50 100
2017 Q3 13.2M $402M +$17.7M $30.45 94
2017 Q2 12.6M $361M +$8.75M $28.60 92
2017 Q1 12.3M $334M +$51.8M $27.05 93
2016 Q4 11.9M $339M +$112M $28.55 95
2016 Q3 7.78M $258M +$9.67M $33.15 89
2016 Q2 7.51M $215M +$37.3M $28.67 87
2016 Q1 6.2M $177M +$4.78M $28.50 78
2015 Q4 6.03M $181M +$8.75M $30.00 77
2015 Q3 5.74M $155M +$1.5M $27.03 68
2015 Q2 5.69M $158M +$2.17M $27.72 70
2015 Q1 5.61M $143M -$1.42M $25.50 65
2014 Q4 5.61M $159M +$53.6M $28.37 65
2014 Q3 3.71M $128M -$682K $34.45 66
2014 Q2 3.73M $146M +$1.83M $39.08 67
2014 Q1 3.35M $136M +$2.12M $40.61 68