Globalstar, Inc. - COM (GSAT)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
373M
Holdings value Q2 2024
$418M
Value change Q2 2024
+$10.2M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
203
Number of buys Q2 2024
82
Number of sells Q2 2024
-83
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 Q3 721K $894K +$320K $1.24 2
2024 Q2 373M $418M +$10.2M $1.12 206
2024 Q1 363M $534M +$5.91M $1.47 215
2023 Q4 358M $695M +$79.3M $1.94 214
2023 Q3 312M $409M +$4.46M $1.31 198
2023 Q2 309M $333M -$26.4M $1.08 185
2023 Q1 333M $386M -$12M $1.16 198
2022 Q4 343M $457M +$14.3M $1.33 203
2022 Q3 331M $527M +$9.05M $1.59 178
2022 Q2 326M $402M +$2.16M $1.23 166
2022 Q1 325M $477M +$1.6M $1.47 168
2021 Q4 325M $377M -$5.18M $1.16 156
2021 Q3 318M $532M +$17.9M $1.67 163
2021 Q2 307M $546M +$116M $1.78 144
2021 Q1 242M $327M -$17.7M $1.35 123
2020 Q4 277M $93.9M +$1.23M $0.34 88
2020 Q3 284M $87.1M -$4.22M $0.31 89
2020 Q2 297M $97M -$6.06M $0.33 85
2020 Q1 317M $93.3M -$138K $0.29 92
2019 Q4 317M $165M -$4.86M $0.52 89
2019 Q3 369M $153M -$3.59M $0.41 95
2019 Q2 375M $180M -$2.36M $0.48 110
2019 Q1 381M $164M -$5.87M $0.43 111
2018 Q4 394M $252M +$4M $0.64 108
2018 Q3 391M $199M -$7.91M $0.51 106
2018 Q2 417M $205M -$23M $0.49 119
2018 Q1 457M $314M -$1.73M $0.69 133
2017 Q4 453M $594M +$87.4M $1.31 153
2017 Q3 310M $505M +$15.3M $1.63 139
2017 Q2 301M $640M +$915K $2.13 142
2017 Q1 299M $479M +$74.6M $1.60 136
2016 Q4 297M $470M +$6.01M $1.58 139
2016 Q3 272M $329M -$3.38M $1.21 136
2016 Q2 276M $333M -$28.9M $1.21 138
2016 Q1 292M $429M -$15.9M $1.47 126
2015 Q4 304M $437M -$12.3M $1.44 124
2015 Q3 308M $484M -$1.69M $1.57 122
2015 Q2 309M $652M -$3.13M $2.11 130
2015 Q1 301M $1B +$12.7M $3.33 124
2014 Q4 297M $817M -$13M $2.75 120
2014 Q3 294M $1.08B +$83.9M $3.66 135
2014 Q2 271M $1.15B +$878M $4.25 126
2014 Q1 63.9M $169M +$22.4M $2.65 11