LHC GROUP INC - COM (LHCG)

Historical Portfolio Holders from Q1 2014 to Q2 2023

All holders as of June 30, 2023
Q2 2023
Type / Class
Equity / COM
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2023 Q2 0 $0 -$21K 0
2023 Q1 12.9K $2.95M -$4.8B $194.51 2
2022 Q4 29.7M $4.81B +$136M $161.69 308
2022 Q3 28.8M $4.72B -$68M $163.66 313
2022 Q2 29.3M $4.56B +$42.6M $155.74 306
2022 Q1 28.9M $4.88B +$143M $168.60 323
2021 Q4 28.3M $3.88B -$222M $137.23 285
2021 Q3 29.6M $4.65B +$15.3M $156.91 328
2021 Q2 29.4M $5.89B +$179M $200.26 344
2021 Q1 28.7M $5.5B +$42.7M $191.21 329
2020 Q4 28.7M $6.12B -$107M $213.32 364
2020 Q3 29.2M $6.21B -$69.7M $212.56 342
2020 Q2 34.9M $5.93B +$679M $174.32 301
2020 Q1 30.1M $4.22B +$30.9M $140.20 285
2019 Q4 29.4M $4.06B +$3.62M $137.76 287
2019 Q3 29.4M $3.34B +$91.2M $113.56 273
2019 Q2 28.7M $3.44B +$35.9M $119.58 269
2019 Q1 29.2M $3.24B -$6.94M $110.86 275
2018 Q4 29.2M $2.75B +$112M $93.88 262
2018 Q3 28M $2.88B +$49.4M $102.99 251
2018 Q2 27.7M $2.37B +$894M $85.59 237
2018 Q1 17.6M $1.09B +$74M $61.56 189
2017 Q4 16.5M $1.01B +$16.4M $61.25 195
2017 Q3 16.1M $1.14B +$4.44M $70.92 192
2017 Q2 16M $1.09B +$22.1M $67.89 191
2017 Q1 15.8M $849M +$157M $53.90 173
2016 Q4 15M $686M +$2.9M $45.70 171
2016 Q3 15M $552M +$5.34M $36.88 151
2016 Q2 14.8M $640M +$13.3M $43.28 160
2016 Q1 14.5M $516M -$18.4M $35.56 158
2015 Q4 14.8M $671M +$20.2M $45.29 162
2015 Q3 14.3M $640M +$13.2M $44.77 170
2015 Q2 14.1M $539M +$12.7M $38.25 150
2015 Q1 13.8M $455M -$10.6M $33.03 135
2014 Q4 14.1M $441M +$22.9M $31.18 125
2014 Q3 13.7M $317M +$8.05M $23.20 117
2014 Q2 13.3M $284M -$7.37M $21.37 100
2014 Q1 13.7M $301M -$904K $22.06 105