KIRKLAND'S, INC - COM (KIRK)

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
1.95M
Holdings value Q2 2024
$3.18M
Value change Q2 2024
-$356K
Grand Portfolio weight change Q2 2024
0%
Number of holders
36
Number of buys Q2 2024
9
Number of sells Q2 2024
-15
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 1.95M $3.18M -$356K $1.63 36
2024 Q1 2.12M $5.11M -$61.3K $2.41 35
2023 Q4 1.99M $6M +$204K $3.02 39
2023 Q3 1.98M $3.4M -$145K $1.72 36
2023 Q2 2.02M $5.63M -$336K $2.79 35
2023 Q1 2.13M $6.08M -$511K $2.85 37
2022 Q4 3.87M $12.8M -$2.79M $3.30 46
2022 Q3 4.78M $14.4M -$10.9M $3.01 42
2022 Q2 8.15M $28.2M -$11.8M $3.52 55
2022 Q1 9.59M $89.1M -$3.46M $9.29 78
2021 Q4 8.06M $120M -$28.5M $14.93 81
2021 Q3 10.7M $205M +$9.51M $19.21 86
2021 Q2 10.1M $232M -$9.03M $22.88 88
2021 Q1 10.3M $290M +$57M $28.10 79
2020 Q4 8.56M $153M +$38.2M $17.88 73
2020 Q3 6.56M $53.8M +$10.6M $8.21 47
2020 Q2 5.63M $15.3M +$3M $2.71 36
2020 Q1 4.88M $3.78M -$2.1M $0.77 32
2019 Q4 6.8M $8.43M -$4.71M $1.24 40
2019 Q3 9.76M $15M -$7.45M $1.54 55
2019 Q2 13.6M $30.8M -$10.3M $2.26 88
2019 Q1 14.8M $104M -$3.98M $7.03 111
2018 Q4 15.1M $144M -$2.31M $9.53 110
2018 Q3 15.3M $154M -$2.19M $10.09 117
2018 Q2 15.3M $178M +$10.3M $11.64 132
2018 Q1 14.6M $142M +$1.75M $9.69 112
2017 Q4 14.9M $179M -$1.05M $11.97 109
2017 Q3 15M $171M +$11.7M $11.43 114
2017 Q2 14M $144M -$2.87M $10.28 105
2017 Q1 14.2M $176M +$25M $12.40 109
2016 Q4 13.9M $215M +$423K $15.51 112
2016 Q3 14M $170M +$4.47M $12.18 107
2016 Q2 13.4M $196M +$279K $14.68 116
2016 Q1 13.2M $232M -$19.2M $17.51 118
2015 Q4 14.7M $212M -$26.2M $14.50 118
2015 Q3 15.1M $325M +$368K $21.54 124
2015 Q2 15.5M $432M +$23.9M $27.87 135
2015 Q1 14.7M $349M +$10.1M $23.75 133
2014 Q4 14.3M $337M +$3.2M $23.64 120
2014 Q3 14.2M $229M +$648K $16.11 116
2014 Q2 14.1M $261M +$8.67M $18.55 128
2014 Q1 13.6M $251M +$3M $18.49 125