Perspective Therapeutics, Inc. - COM (CATX)

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
105K
Holdings value Q2 2024
$735K
Value change Q2 2024
-$297M
Grand Portfolio weight change Q2 2024
-0.001%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
-95
Average buys Q2 2024 %
0
Average sells Q2 2024 %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 105K $735K -$297M $5.52 2
2024 Q1 248M $295M +$251M $1.19 98
2023 Q4 36.6M $14.7M +$32.3K $0.40 47
2023 Q3 36.5M $9.99M +$507K $0.27 48
2023 Q2 33M $22M +$3.41M $0.67 49
2023 Q1 27.9M $17.8M +$7M $0.64 42
2022 Q4 17.2M $4.26M +$285K $0.25 47
2022 Q3 16.1M $3.7M -$216K $0.23 33
2022 Q2 16.8M $5.19M +$247K $0.31 37
2022 Q1 15.9M $5.79M -$595K $0.36 36
2021 Q4 17.5M $6.78M +$482K $0.39 40
2021 Q3 15.8M $9.98M -$1.02M $0.63 36
2021 Q2 17.4M $13.9M -$1.12M $0.80 36
2021 Q1 18.5M $20.2M +$11.2M $1.09 48
2020 Q4 8.49M $3.89M +$800K $0.45 38
2020 Q3 6.72M $3.92M -$125K $0.58 35
2020 Q2 7.02M $3.91M -$90K $0.56 33
2020 Q1 7.21M $3.82M +$1.6M $0.53 32
2019 Q4 4.21M $2.63M +$333K $0.62 30
2019 Q3 3.68M $1.18M -$122K $0.32 25
2019 Q2 3.96M $1.62M -$370K $0.41 24
2019 Q1 4.89M $1.79M -$345K $0.37 26
2018 Q4 5.82M $1.74M +$17.1K $0.30 24
2018 Q3 5.76M $2.99M +$1.18M $0.52 27
2018 Q2 3.44M $1.55M -$195K $0.45 25
2018 Q1 3.96M $1.66M +$25.5K $0.42 26
2017 Q4 3.9M $1.55M +$116K $0.40 25
2017 Q3 3.6M $1.86M +$16.5K $0.51 25
2017 Q2 3.6M $2.25M -$243K $0.62 24
2017 Q1 3.99M $2.35M +$283K $0.59 23
2016 Q4 4.48M $2.6M +$260K $0.58 28
2016 Q3 4.06M $2.92M -$185K $0.72 24
2016 Q2 4.27M $3.71M -$40.7K $0.87 26
2016 Q1 4.31M $3.88M +$56.2K $0.90 23
2015 Q4 4.25M $3.98M -$103K $0.94 25
2015 Q3 4.29M $6.01M +$162K $1.40 29
2015 Q2 4.16M $6.16M +$898K $1.48 29
2015 Q1 3.56M $5.57M -$300K $1.57 27
2014 Q4 3.76M $5.49M +$618K $1.46 28
2014 Q3 3.33M $5.63M -$1.01M $1.69 27
2014 Q2 3.36M $10.5M +$4.3M $3.12 26
2014 Q1 1.92M $4.23M +$1.06M $2.20 24