JOINT Corp - COM (JYNT)

Historical Portfolio Holders from Q4 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
10.8M
Holdings value Q2 2024
$152M
Value change Q2 2024
-$4M
Grand Portfolio weight change Q2 2024
0%
Number of holders
88
Number of buys Q2 2024
19
Number of sells Q2 2024
-11
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 Q3 1.45M $16.6M +$705K $11.44 26
2024 Q2 10.8M $152M -$4M $14.06 89
2024 Q1 11.1M $145M -$2.09M $13.06 82
2023 Q4 11.3M $109M +$669K $9.61 88
2023 Q3 11.3M $101M -$13.1M $8.99 91
2023 Q2 12.1M $163M -$1.73M $13.50 98
2023 Q1 12.1M $204M -$14.7M $16.83 100
2022 Q4 13.1M $183M +$2.4M $13.98 125
2022 Q3 12.8M $202M +$297K $15.71 127
2022 Q2 12.7M $195M -$20.6M $15.31 125
2022 Q1 12.9M $457M +$7.83M $35.39 136
2021 Q4 12.4M $817M -$11.3M $65.69 160
2021 Q3 12.5M $1.22B -$18.7M $98.02 183
2021 Q2 12.7M $1.07B +$113M $83.92 160
2021 Q1 11.4M $551M +$41.3M $48.37 108
2020 Q4 11.3M $296M +$3.82M $26.26 95
2020 Q3 10.3M $179M -$6.42M $17.39 77
2020 Q2 10.7M $163M +$5.67M $15.27 84
2020 Q1 10.6M $115M +$9.98M $10.85 90
2019 Q4 10.1M $163M +$8.62M $16.14 93
2019 Q3 9.31M $173M +$11.3M $18.61 90
2019 Q2 8.69M $158M +$29.8M $18.20 73
2019 Q1 7.16M $112M +$5.14M $15.75 57
2018 Q4 6.84M $56.9M -$1.92M $8.32 41
2018 Q3 7.06M $60.4M -$782K $8.55 45
2018 Q2 7.18M $58.7M +$611K $8.18 43
2018 Q1 7.11M $48.7M +$2.61M $6.85 25
2017 Q4 6.73M $33.4M +$3.08M $4.97 23
2017 Q3 6.11M $29.1M +$595K $4.76 22
2017 Q2 5.99M $22.7M +$27.6K $3.80 18
2017 Q1 5.98M $25.1M +$90.9K $4.20 17
2016 Q4 5.98M $15.8M +$979K $2.65 14
2016 Q3 5.6M $13.3M +$395K $2.39 16
2016 Q2 5.45M $11.1M +$274K $2.03 19
2016 Q1 5.29M $16.6M +$8.36K $3.13 17
2015 Q4 5.21M $31.1M +$17.7M $5.97 15
2015 Q3 2.25M $14.9M +$1.13M $6.48 11
2015 Q2 2.09M $21.2M +$793K $10.18 11
2015 Q1 2.01M $15.8M +$252K $7.87 10
2014 Q4 1.98M $12.6M +$12.6M $6.38 10