FRANKLIN FINL NETWORK INC - COM (FSB)

Historical Holders from Q4 2014 to Q3 2020

Symbol
FSB
Type / Class
Equity / COM
All holders as of 30 Sep 2020
Q3 2020
Total 13F shares, excl. options
0
Holdings value
$0
Number of holders
0
Number of sells
-108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FRANKLIN FINL NETWORK INC - COM (FSB)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2020 Q3 0 $0 -$247,468,656 0
2020 Q2 9,614,715 $247,067,767 +$3,091,815 $25.75 108
2020 Q1 9,522,959 $194,071,970 -$13,563,070 $20.39 104
2019 Q4 9,528,545 $327,130,020 +$3,046,162 $34.33 118
2019 Q3 9,408,565 $284,269,311 +$173,292 $30.21 110
2019 Q2 9,407,473 $262,080,612 -$1,527,701 $27.86 107
2019 Q1 9,497,142 $275,489,112 -$393,497 $29.01 123
2018 Q4 9,586,240 $252,774,757 -$7,503,649 $26.37 114
2018 Q3 9,719,388 $379,937,961 +$16,226,652 $39.10 116
2018 Q2 9,326,760 $350,663,872 +$64,472,483 $37.60 116
2018 Q1 7,673,410 $250,147,661 +$11,944,835 $32.60 98
2017 Q4 7,392,614 $252,372,923 +$4,079,296 $34.10 106
2017 Q3 6,866,075 $244,786,019 -$23,835,275 $35.65 99
2017 Q2 7,805,060 $321,957,934 +$21,721,872 $41.25 110
2017 Q1 7,293,291 $282,622,899 +$30,898,408 $38.75 104
2016 Q4 7,153,865 $297,973,775 +$100,504,082 $41.85 111
2016 Q3 4,751,809 $177,679,796 +$9,701,790 $37.40 107
2016 Q2 4,532,292 $142,109,095 +$9,528,747 $31.36 96
2016 Q1 4,312,950 $116,428,098 +$8,572,156 $27.00 84
2015 Q4 3,979,738 $124,943,483 +$11,147,283 $31.38 81
2015 Q3 3,664,126 $81,887,188 +$15,104,553 $22.35 60
2015 Q2 2,980,182 $68,365,639 +$6,732,506 $22.94 55
2015 Q1 2,680,455 $56,117,000 +$51,317,873 $21.00 27
2014 Q4 128,500 $2,223,000 +$2,223,000 $17.30 2