INTEVAC INC - COM (IVAC)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
18.4M
Holdings value Q2 2024
$71M
Value change Q2 2024
-$4.89M
Grand Portfolio weight change Q2 2024
0%
Number of holders
67
Number of buys Q2 2024
28
Number of sells Q2 2024
-40
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 Q2 18.4M $71M -$4.89M $3.86 67
2024 Q1 19.7M $75.5M +$2.09M $3.84 71
2023 Q4 19.5M $84.3M +$2.54M $4.32 72
2023 Q3 19M $59.2M -$1.06M $3.11 68
2023 Q2 19.3M $72.4M +$238K $3.75 71
2023 Q1 18.4M $135M +$8.8M $7.33 66
2022 Q4 17.3M $112M -$205K $6.47 48
2022 Q3 17.4M $80.9M -$368K $4.65 49
2022 Q2 17.4M $84.4M +$295K $4.84 52
2022 Q1 17.4M $92.9M +$2.48M $5.35 52
2021 Q4 17M $79.9M -$6.72M $4.71 52
2021 Q3 16.7M $80M -$1.65M $4.78 58
2021 Q2 17M $115M -$8.85M $6.74 64
2021 Q1 18.2M $130M +$6.12M $7.15 72
2020 Q4 17.4M $125M -$199K $7.21 64
2020 Q3 17.4M $96M -$307K $5.51 62
2020 Q2 17.5M $95.5M +$7.41M $5.46 63
2020 Q1 16.6M $67.8M +$2M $4.09 63
2019 Q4 15.9M $112M +$3.03M $7.06 64
2019 Q3 10.4M $54.7M -$19.9M $5.24 54
2019 Q2 14.6M $70.9M -$1.72M $4.84 59
2019 Q1 14.9M $91.4M +$6.28M $6.13 65
2018 Q4 13.9M $72.7M +$1.93M $5.23 53
2018 Q3 13.5M $70.4M -$1.52M $5.20 58
2018 Q2 14.3M $69.2M -$5.88M $4.85 65
2018 Q1 15M $103M -$4.94M $6.90 68
2017 Q4 15.5M $106M +$672K $6.85 74
2017 Q3 15.3M $129M -$869K $8.45 78
2017 Q2 15.3M $170M +$12.3M $11.10 83
2017 Q1 14.1M $176M +$15.5M $12.50 67
2016 Q4 13.7M $117M -$14.9M $8.55 49
2016 Q3 15.2M $89.9M -$566K $5.90 44
2016 Q2 15.4M $87.3M -$1.53M $5.68 44
2016 Q1 15.7M $70.5M -$454K $4.50 40
2015 Q4 15.7M $74.2M -$8.01M $4.71 40
2015 Q3 17.4M $80.3M -$1.33M $4.60 45
2015 Q2 17.2M $101M -$9.48M $5.85 52
2015 Q1 18.8M $116M -$2.24M $6.14 55
2014 Q4 20M $155M +$328K $7.77 56
2014 Q3 20M $133M -$4.41M $6.67 59
2014 Q2 20.4M $164M +$5.73M $8.01 85
2014 Q1 19.6M $190M +$1.7M $9.70 75