Integer Holdings Corp - COM (ITGR)

Historical Portfolio Holders from Q2 2016 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
38.4M
Holdings value Q2 2024
$4.45B
Value change Q2 2024
+$251M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
309
Number of buys Q2 2024
140
Number of sells Q2 2024
-136
Average buys Q2 2024 %
+0.002%
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 21K $2.73M +$739K $130.00 5
2024 Q2 38.4M $4.45B +$251M $115.79 310
2024 Q1 36.3M $4.24B +$50.5M $116.68 299
2023 Q4 36M $3.57B +$70M $99.08 278
2023 Q3 35.4M $2.77B -$68.7M $78.43 259
2023 Q2 35.9M $3.18B +$772K $88.61 245
2023 Q1 35.9M $2.78B +$231M $77.50 246
2022 Q4 32.9M $2.25B +$6.14M $68.46 238
2022 Q3 32.9M $2.05B -$28.9M $62.23 218
2022 Q2 33.3M $2.35B +$48.9M $70.66 228
2022 Q1 32.7M $2.63B -$2.94M $80.57 241
2021 Q4 32.8M $2.8B -$39.8M $85.59 254
2021 Q3 32.7M $2.92B +$6.48M $89.34 241
2021 Q2 32.8M $3.09B -$21.2M $94.20 227
2021 Q1 33.1M $3.04B +$2.33M $92.10 221
2020 Q4 33.1M $2.69B +$86.3M $81.19 232
2020 Q3 32.2M $1.9B -$17.6M $59.01 227
2020 Q2 32.2M $2.35B -$15.4M $73.05 220
2020 Q1 32.5M $2.04B -$2.37M $62.86 214
2019 Q4 32.4M $2.6B -$7.76M $80.43 226
2019 Q3 32.4M $2.45B -$11.9M $75.56 222
2019 Q2 32.6M $2.74B +$144M $83.92 215
2019 Q1 31.8M $2.4B +$49.4M $75.42 261
2018 Q4 31.1M $2.38B -$40.2M $76.26 238
2018 Q3 31.6M $2.62B +$54M $82.95 214
2018 Q2 31.3M $2.02B +$16.4M $64.65 221
2018 Q1 31.1M $1.76B +$36.7M $56.55 196
2017 Q4 30.6M $1.39B -$5.62M $45.30 184
2017 Q3 30.5M $1.56B +$955K $51.15 174
2017 Q2 30.5M $1.32B +$53.8M $43.25 160
2017 Q1 29.3M $1.18B +$151M $40.20 155
2016 Q4 28.9M $852M -$6.6M $29.45 142
2016 Q3 29.2M $633M +$562M $21.69 132
2016 Q2 3.15M $99.5M +$99.5M $30.93 15