FLY LEASING LTD - SPONSORED ADR (FLY) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2021

Type / Class
Equity / SPONSORED ADR
Symbol
FLY
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FLY LEASING LTD - SPONSORED ADR (FLY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q3 0 $0 -$254,999,484 0
2021 Q2 15,098,752 $255,769,484 +$30,488,817 $16.94 71
2021 Q1 13,308,825 $224,249,310 +$61,199,985 $16.85 82
2020 Q4 10,375,235 $102,207,700 -$11,832,779 $9.85 61
2020 Q3 11,811,144 $85,757,961 -$1,664,363 $7.26 59
2020 Q2 11,992,727 $98,459,385 -$8,317,789 $8.21 62
2020 Q1 13,278,797 $93,459,000 -$3,437,462 $7.04 80
2019 Q4 13,189,456 $258,432,000 -$5,406,705 $19.60 86
2019 Q3 13,438,730 $275,604,000 +$20,906,507 $20.51 78
2019 Q2 12,493,426 $217,486,000 -$4,667,885 $17.41 60
2019 Q1 12,873,727 $178,164,000 -$7,750,864 $13.84 64
2018 Q4 13,596,947 $143,613,000 -$6,448,005 $10.56 64
2018 Q3 14,243,753 $200,806,000 +$4,485,770 $14.10 69
2018 Q2 13,924,429 $196,185,000 +$5,285,615 $14.09 62
2018 Q1 13,532,232 $180,109,000 +$7,836,409 $13.31 61
2017 Q4 12,998,644 $167,834,000 +$950,521 $12.91 59
2017 Q3 12,914,837 $181,065,000 -$17,193,623 $14.02 60
2017 Q2 14,148,960 $190,305,000 -$16,037,471 $13.45 60
2017 Q1 15,216,395 $199,632,000 -$3,401,806 $13.12 68
2016 Q4 15,721,054 $209,457,000 +$6,889,072 $13.30 75
2016 Q3 16,679,080 $192,545,000 -$7,690,435 $11.59 69
2016 Q2 17,397,636 $172,762,000 +$7,578,974 $9.93 73
2016 Q1 16,430,766 $208,824,000 -$16,870,796 $12.71 80
2015 Q4 17,725,384 $241,907,000 -$19,502,014 $13.65 85
2015 Q3 19,781,017 $261,110,000 +$2,375,552 $13.20 91
2015 Q2 18,978,443 $297,914,839 -$13,285,575 $15.70 96
2015 Q1 19,931,030 $290,122,487 +$14,551,592 $14.56 103
2014 Q4 18,978,219 $249,626,423 -$9,400,354 $13.15 84
2014 Q3 21,345,676 $272,691,545 +$1,376,140 $12.81 79
2014 Q2 21,182,105 $306,921,882 -$14,329,143 $14.49 80
2014 Q1 22,126,531 $331,649,713 -$10,474,660 $15.00 89