FLEXIBLE SOLUTIONS INTERNATIONAL INC - COM (FSI)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
1.03M
Holdings value Q2 2024
$1.81M
Value change Q2 2024
-$117K
Grand Portfolio weight change Q2 2024
0%
Number of holders
14
Number of buys Q2 2024
3
Number of sells Q2 2024
-6
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 1.03M $1.81M -$117K $1.75 14
2024 Q1 1.1M $2.06M -$61.7K $1.88 15
2023 Q4 1.13M $2.16M -$82.5K $1.91 16
2023 Q3 1.16M $3.16M -$145K $2.72 15
2023 Q2 1.22M $3.25M +$1.48K $2.67 14
2023 Q1 1.22M $3.79M -$171K $3.12 13
2022 Q4 1.27M $3.94M +$96.2K $3.10 17
2022 Q3 1.24M $2.04M -$259K $1.65 11
2022 Q2 1.28M $3.13M +$147K $2.45 14
2022 Q1 1.21M $4.91M -$53K $4.07 13
2021 Q4 1.22M $4.74M -$106K $3.89 11
2021 Q3 1.23M $4.44M -$122K $3.60 13
2021 Q2 1.27M $4.95M +$277K $3.91 13
2021 Q1 1.19M $4.83M +$808K $4.04 8
2020 Q4 979K $2.44M +$307K $2.49 13
2020 Q3 879K $1.79M +$134K $2.04 12
2020 Q2 814K $1.66M -$308K $2.03 12
2020 Q1 1.09M $1.27M -$134K $1.17 14
2019 Q4 1.15M $2.95M -$119K $2.57 16
2019 Q3 1.17M $2.84M +$1.31M $2.36 16
2019 Q2 613K $2.76M +$544K $4.51 13
2019 Q1 642K $1.43M -$52.7K $2.23 7
2018 Q4 676K $912K -$93.8K $1.35 8
2018 Q3 739K $1.09M -$518K $1.47 8
2018 Q2 1.06M $1.73M -$298K $1.62 8
2018 Q1 1.24M $1.91M -$82.9K $1.60 10
2017 Q4 1.29M $2.36M -$207K $1.82 9
2017 Q3 1.41M $2.42M -$184K $1.72 10
2017 Q2 1.52M $2.8M +$95.2K $1.84 12
2017 Q1 1.48M $2.18M -$241K $1.47 14
2016 Q4 1.65M $2.2M +$301K $1.33 17
2016 Q3 1.34M $2.98M +$711K $2.22 15
2016 Q2 1.06M $1.48M +$145K $1.40 13
2016 Q1 961K $891K +$42.1K $0.93 11
2015 Q4 915K $910K -$288K $1.00 10
2015 Q3 1.21M $1.17M -$201K $0.96 14
2015 Q2 1.26M $2.58M +$601K $2.05 15
2015 Q1 967K $1.25M -$21.5K $1.28 6
2014 Q4 987K $1.15M +$234K $1.14 7
2014 Q3 810K $1.04M -$1.02M $1.29 7
2014 Q2 1.59M $1.34M +$7.55K $0.84 5
2014 Q1 1.58M $1.25M +$48K $0.79 5