LIVE VENTURES Inc - COM NEW (LIVE)

Historical Holders from Q4 2016 to Q3 2025

Symbol
LIVE on Nasdaq
Type / Class
Equity / COM NEW
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
257,305
Holdings value
$4,726,599
% of all portfolios
0%
Number of holders
18
Number of buys
10
Number of sells
-8
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of LIVE VENTURES Inc - COM NEW (LIVE)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 257,305 $4,726,599 +$427,077 $18.37 18
2025 Q2 234,090 $4,068,918 -$4,443 $17.38 16
2025 Q1 234,360 $1,788,173 -$14,989 $7.63 13
2024 Q4 236,001 $2,201,925 -$292,927 $9.33 15
2024 Q3 257,423 $3,969,982 +$52,857 $15.32 16
2024 Q2 253,486 $5,751,817 -$50,354 $22.69 17
2024 Q1 255,623 $6,894,272 +$554,312 $26.97 18
2023 Q4 235,072 $5,970,975 -$359,786 $25.4 16
2023 Q3 247,048 $6,989,118 +$165,015 $28.29 16
2023 Q2 253,832 $6,702,395 -$58,829 $26.22 18
2023 Q1 241,208 $7,497,271 +$158,463 $30.74 15
2022 Q4 236,623 $7,405,621 -$216,919 $31.3 18
2022 Q3 238,816 $5,980,000 +$202,133 $25.05 14
2022 Q2 230,779 $5,781,000 -$43,809 $25.06 15
2022 Q1 224,784 $9,783,000 +$320,911 $43.87 17
2021 Q4 218,784 $6,897,000 -$111,165 $31.53 14
2021 Q3 219,099 $8,159,000 -$475,810 $37.02 13
2021 Q2 199,510 $12,961,000 +$922,122 $61.58 17
2021 Q1 179,762 $4,292,048 +$1,884,023 $23.87 13
2020 Q4 100,994 $1,252,000 +$126,029 $12.39 9
2020 Q3 90,925 $802,000 +$22,829 $8.92 10
2020 Q2 88,347 $844,000 +$42,598 $9.54 9
2020 Q1 83,894 $436,000 -$35,469 $5.22 8
2019 Q4 90,327 $678,000 +$55,222 $7.51 10
2019 Q3 82,459 $700,000 +$135,560 $8.53 11
2019 Q2 66,858 $473,000 -$93,647 $7.17 9
2019 Q1 78,762 $609,000 +$25,743 $7.8 11
2018 Q4 75,476 $505,000 -$124,614 $6.6 10
2018 Q3 93,882 $833,000 -$53,874 $8.83 9
2018 Q2 99,288 $1,249,000 -$5,991 $12.59 13
2018 Q1 99,825 $1,214,000 +$149,032 $12.17 13
2017 Q4 87,399 $1,396,326 -$486,936 $15.97 13
2017 Q3 117,681 $1,451,029 +$74,658 $12.32 11
2017 Q2 111,775 $1,177,858 -$168,055 $10.54 11
2017 Q1 127,197 $2,021,000 +$260,804 $15.87 11
2016 Q4 107,741 $2,585,000 +$2,585,000 $23.98 14