FRANKLIN WIRELESS CORP - COM (FKWL)

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
925K
Holdings value Q3 2024
$4.24M
Value change Q3 2024
+$298K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
16
Number of buys Q3 2024
7
Number of sells Q3 2024
-4
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 925K $4.24M +$298K $4.58 16
2024 Q2 859K $3.12M -$198K $3.63 18
2024 Q1 920K $2.75M -$654K $2.99 18
2023 Q4 1.13M $3.82M -$28.4K $3.39 22
2023 Q3 1.14M $3.62M -$114K $3.18 19
2023 Q2 1.17M $4.37M -$191K $3.73 18
2023 Q1 1.23M $6.13M +$464K $4.98 21
2022 Q4 1.14M $5.07M -$96.8K $4.46 20
2022 Q3 1.17M $3.41M -$535K $2.92 17
2022 Q2 1.34M $4.26M +$300K $3.17 19
2022 Q1 1.21M $4.83M -$1.38M $3.98 19
2021 Q4 1.56M $6.81M -$5.28M $4.37 17
2021 Q3 2.34M $17.1M +$1.23M $7.26 23
2021 Q2 2.19M $20.4M -$4.42M $9.17 17
2021 Q1 2.31M $47.2M +$19.6M $21.70 10
2020 Q4 1.27M $29.9M +$1.52M $23.50 1
2020 Q3 1.21M $19.3M +$2.47M $15.99 1
2020 Q2 1.05M $5.81M +$46K $5.52 1
2020 Q1 1.04M $4.26M -$27.9K $4.08 1
2019 Q4 1.05M $2.51M +$4.55K $2.39 1
2019 Q3 1.05M $2.34M $0 $2.23 1
2019 Q2 1.05M $2.57M $0 $2.45 1
2019 Q1 1.05M $2.94M +$2.38K $2.80 1
2018 Q4 1.05M $2.38M +$18.2K $2.27 1
2018 Q3 1.04M $2.13M $0 $2.05 1
2018 Q2 1.04M $1.92M $0 $1.85 1
2018 Q1 1.04M $2.06M +$34.3K $1.98 1
2017 Q4 1.02M $2.1M +$168K $2.05 1
2017 Q3 940K $2.35M +$142K $2.50 1
2017 Q2 883K $1.99M +$128K $2.25 1
2017 Q1 826K $1.88M +$134K $2.27 1
2016 Q4 767K $2.19M +$143K $2.85 1
2016 Q3 717K $1.66M $0 $2.32 1
2016 Q2 717K $1.66M +$1.16K $2.32 1
2016 Q1 717K $1.79M +$479K $2.50 1
2015 Q4 525K $1.16M +$93.2K $2.20 1
2015 Q3 483K $840K -$26.1K $1.74 1
2015 Q2 498K $796K +$32K $1.60 1
2015 Q1 478K $836K +$16.9K $1.75 1
2014 Q4 468K $679K $0 $1.45 1
2014 Q3 468K $744K +$15.8K $1.59 1
2014 Q2 458K $825K +$36.6K $1.80 1
2014 Q1 438K $766K +$199K $1.75 1