GRAVITY Co., Ltd. - SPONSORED ADS NE (GRVY)

Historical Portfolio Holders from Q2 2015 to Q2 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / SPONSORED ADS NE
Shares, excl. options Q1 2024
763 K
Holdings value Q1 2024
$57.8 M
Value change Q1 2024
+$5.7 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
51
Number of buys Q1 2024
2
Number of sells Q1 2024
-1
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
38911N206
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 2.91 K $235 K -$1.2 M $80.75 2
2024 Q1 763 K $57.8 M +$5.7 M $75.89 51
2023 Q4 688 K $47.9 M +$4.08 M $69.56 46
2023 Q3 628 K $43.3 M +$5.83 M $69.00 40
2023 Q2 542 K $38.1 M +$4.93 M $70.19 35
2023 Q1 474 K $27.4 M +$1.23 M $57.80 30
2022 Q4 478 K $19.3 M -$1.03 M $40.32 27
2022 Q3 576 K $27 M +$736 K $46.83 33
2022 Q2 557 K $28.4 M +$626 K $50.95 31
2022 Q1 545 K $27.6 M -$2.94 M $50.62 31
2021 Q4 590 K $40.2 M +$2.7 M $68.13 38
2021 Q3 544 K $49.2 M -$10.7 M $90.44 35
2021 Q2 643 K $69.6 M -$11.4 M $108.33 55
2021 Q1 739 K $85 M +$13.3 M $114.99 56
2020 Q4 617 K $112 M +$5.57 M $180.71 49
2020 Q3 542 K $77.6 M +$7.18 M $143.35 33
2020 Q2 527 K $29.1 M +$745 K $55.20 23
2020 Q1 519 K $15.5 M -$785 K $29.97 13
2019 Q4 534 K $19.9 M -$3.76 M $37.40 20
2019 Q3 665 K $22.6 M +$542 K $33.60 20
2019 Q2 610 K $28.2 M +$2.25 M $46.16 29
2019 Q1 510 K $32.9 M +$6.64 M $64.42 21
2018 Q4 404 K $16.9 M -$119 K $41.95 9
2018 Q3 408 K $7.3 M -$5.98 M $17.91 9
2018 Q2 351 K $20.4 M -$2.87 M $58.43 13
2018 Q1 432 K $35.5 M -$5.75 M $83.33 14
2017 Q4 487 K $46.1 M +$22.1 M $94.51 13
2017 Q3 255 K $8.04 M -$323 K $31.50 7
2017 Q2 332 K $6.03 M +$1.31 M $18.16 9
2017 Q1 215 K $4.49 M +$24.1 K $20.98 6
2016 Q4 220 K $2.32 M +$296 K $10.57 8
2016 Q3 193 K $81.8 M +$9.33 K $5.26 4
2016 Q2 262 K $1.23 M +$9.54 K $4.69 5
2016 Q1 261 K $807 K +$6.93 K $3.08 6
2015 Q4 257 K $811 K +$1.45 K $3.16 4
2015 Q3 256 K $926 K -$4.89 K $3.60 4
2015 Q2 258 K $910 K +$910 K $3.53 6