KNIGHT TRANSN INC - COM (KNX) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2021

Type / Class
Equity / COM
Symbol
KNX on NYSE
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of KNIGHT TRANSN INC - COM (KNX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q4 0 $0 -$9,100,000 0
2021 Q3 177,910 $9,100,000 -$2,443 $51.15 1
2021 Q2 177,974 $8,091,000 -$8,865 $44.66 2
2021 Q1 178,169 $8,568,000 -$291,437 $45.98 2
2020 Q4 184,229 $7,705,000 -$16,177,883 $42.84 2
2020 Q3 571,059 $23,242,000 -$4,273 $42.28 2
2020 Q2 571,164 $23,823,000 -$128,464 $42.78 2
2020 Q1 574,244 $18,835,000 +$281,241 $33.94 2
2019 Q4 565,670 $20,274,000 +$1,540,235 $36.97 2
2019 Q3 522,695 $18,974,000 +$316,354 $37.20 2
2019 Q2 513,980 $16,879,000 -$16,256 $30.71 2
2019 Q1 514,475 $16,812,000 -$466,765 $30.63 2
2018 Q4 528,880 $13,259,000 +$250,689 $25.45 3
2018 Q3 518,880 $17,891,000 +$7,069,967 $34.55 3
2018 Q2 313,830 $11,991,000 -$29,127,113 $38.18 3
2018 Q1 922,244 $42,443,000 -$26,637,080 $46.02 4
2017 Q4 1,501,006 $65,644,000 -$1,162,743 $43.73 3
2017 Q3 1,538,798 $63,846,000 -$2,971,976,401 $41.54 6
2017 Q2 81,944,646 $3,035,848,695 +$386,296,925 $37.05 189
2017 Q1 71,804,941 $2,251,411,899 +$180,669,162 $31.35 187
2016 Q4 73,224,565 $2,419,933,281 -$82,094,845 $33.05 200
2016 Q3 75,195,557 $2,156,728,339 +$75,869,202 $28.69 169
2016 Q2 72,897,441 $1,937,800,301 +$23,511,334 $26.58 166
2016 Q1 73,549,540 $1,923,171,535 +$41,767,597 $26.15 173
2015 Q4 72,150,161 $1,748,046,980 +$158,417,875 $24.23 175
2015 Q3 65,621,137 $1,574,937,224 -$8,389,101 $24.00 187
2015 Q2 65,764,999 $1,758,505,902 -$112,682,387 $26.74 205
2015 Q1 68,889,346 $2,221,690,519 +$58,069,553 $32.25 208
2014 Q4 67,058,087 $2,257,037,880 +$67,476,025 $33.66 211
2014 Q3 66,225,931 $1,812,723,950 -$18,481,151 $27.39 179
2014 Q2 67,010,478 $1,592,824,516 +$35,097,234 $23.77 181
2014 Q1 65,514,023 $1,515,269,797 +$23,066,486 $23.13 171