HMS HLDGS CORP - COM (HMSY) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2021

Type / Class
Equity / COM
Symbol
HMSY
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of HMS HLDGS CORP - COM (HMSY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q2 0 $0 -$3,028,020,487 0
2021 Q1 81,933,965 $3,029,242,612 -$150,672,038 $36.98 209
2020 Q4 86,179,177 $3,167,008,610 +$125,522,695 $36.75 251
2020 Q3 85,241,040 $2,042,853,768 -$57,952,001 $23.95 245
2020 Q2 86,724,965 $2,808,606,138 +$34,344,241 $32.39 244
2020 Q1 85,900,556 $2,171,007,003 -$38,599,676 $25.27 222
2019 Q4 86,818,610 $2,569,669,458 -$24,118,938 $29.60 256
2019 Q3 86,904,231 $2,995,245,698 +$16,850,772 $34.46 278
2019 Q2 86,526,670 $2,802,602,238 +$76,232,356 $32.39 251
2019 Q1 85,609,541 $2,534,982,273 +$126,438,897 $29.61 273
2018 Q4 81,381,462 $2,290,375,420 +$1,481,740 $28.13 276
2018 Q3 81,133,150 $2,661,711,789 -$26,515,806 $32.81 238
2018 Q2 82,158,573 $1,776,692,226 -$20,751,067 $21.62 210
2018 Q1 83,327,236 $1,403,328,773 -$2,854,313 $16.84 200
2017 Q4 83,521,981 $1,415,809,609 -$3,988,754 $16.95 194
2017 Q3 82,357,447 $1,636,628,341 +$40,905,287 $19.86 193
2017 Q2 79,744,577 $1,475,546,265 -$175,060 $18.50 197
2017 Q1 79,594,472 $1,617,867,454 +$177,380,805 $20.33 208
2016 Q4 80,822,852 $1,467,815,925 -$40,150,648 $18.16 220
2016 Q3 82,114,840 $1,819,356,983 +$169,966,636 $22.17 222
2016 Q2 82,347,092 $1,449,818,774 +$13,926,063 $17.61 202
2016 Q1 82,232,131 $1,179,664,734 -$40,985,981 $14.35 183
2015 Q4 86,843,680 $1,072,372,417 -$27,008,782 $12.34 174
2015 Q3 90,252,419 $791,561,561 -$296,467,457 $8.77 175
2015 Q2 106,618,659 $1,830,779,229 +$181,958,311 $17.17 166
2015 Q1 96,593,092 $1,492,477,330 -$12,517,458 $15.45 182
2014 Q4 96,605,122 $2,041,800,745 -$48,273,027 $21.14 170
2014 Q3 99,277,049 $1,871,910,632 +$73,467,220 $18.85 167
2014 Q2 95,162,638 $1,941,138,443 +$38,376,878 $20.41 164
2014 Q1 91,405,050 $1,741,188,211 +$38,629,947 $19.05 167