KYOCERA CORP - COMMON STOCK-FO (KYOCY)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COMMON STOCK-FO
Shares, excl. options Q2 2024
76.6K
Holdings value Q2 2024
$880K
Value change Q2 2024
-$52.7K
Grand Portfolio weight change Q2 2024
0%
Number of holders
4
Number of buys Q2 2024
2
Number of sells Q2 2024
-2
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 76.6K $880K -$52.7K $11.48 4
2024 Q1 81.2K $1.08M +$803K $13.36 4
2023 Q4 21.1K $1.08M -$1.22M $58.54 3
2023 Q3 41.4K $2.11M -$65.2K $51.18 5
2023 Q2 42.7K $2.31M +$520K $54.32 5
2023 Q1 33.1K $1.72M -$2.55M $52.13 4
2022 Q4 84.3K $4.19M +$2.15M $49.59 6
2022 Q3 41.1K $2.07M -$35.8K $50.35 3
2022 Q2 41.8K $2.23M -$267K $53.42 7
2022 Q1 46.8K $2.65M -$102K $56.69 5
2021 Q4 48.2K $3.01M +$3.03K $62.43 5
2021 Q3 42.2K $2.65M +$119K $62.64 4
2021 Q2 40.3K $2.49M -$42M $61.69 5
2021 Q1 695K $44.5M +$4.34M $64.08 5
2020 Q4 627K $38.7M +$5.19M $61.65 5
2020 Q3 543K $31.1M -$2.3M $57.14 5
2020 Q2 583K $31.7M -$7.58M $54.37 5
2020 Q1 722K $42.4M +$7.53M $58.99 6
2019 Q4 591K $40.4M -$3.89M $68.36 6
2019 Q3 648K $40.4M +$1.66M $62.01 6
2019 Q2 621K $40.7M +$1.06M $65.45 8
2019 Q1 605K $35.6M +$3.21M $58.77 6
2018 Q4 551K $27.5M -$1.26M $49.84 6
2018 Q3 576K $34.5M -$17.2M $60.01 6
2018 Q2 883K $49.6M -$70.1M $56.37 20
2018 Q1 2.12M $120M -$4.35M $56.73 72
2017 Q4 2.17M $142M +$8.56M $65.51 74
2017 Q3 2.03M $126M +$4.02M $62.16 61
2017 Q2 1.98M $115M +$5.75M $58.27 69
2017 Q1 1.88M $106M +$11.1M $56.13 67
2016 Q4 1.69M $84.2M +$1.21M $49.78 63
2016 Q3 1.7M $82.6M +$2.1M $48.13 58
2016 Q2 1.59M $76M +$1.63M $47.65 56
2016 Q1 1.59M $70.1M +$1.17M $44.16 60
2015 Q4 1.56M $71.8M -$650K $46.11 61
2015 Q3 1.58M $72.5M -$851K $46.02 61
2015 Q2 1.59M $82.7M -$837K $52.04 62
2015 Q1 1.67M $91.5M +$1.78M $54.93 65
2014 Q4 1.65M $75.6M -$4.21M $45.82 63
2014 Q3 1.73M $80.6M -$5.24M $46.69 57
2014 Q2 1.84M $87.3M +$4.28M $47.58 61
2014 Q1 1.75M $79.2M +$9.37M $45.25 57