MYR GROUP INC. - COM (MYRG)

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
15.3M
Holdings value Q2 2024
$2.08B
Value change Q2 2024
+$11M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
269
Number of buys Q2 2024
149
Number of sells Q2 2024
-109
Average buys Q2 2024 %
+0.002%
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 15.3M $2.08B +$11M $135.71 270
2024 Q1 15.1M $2.67B +$48.4M $176.75 246
2023 Q4 14.6M $2.11B +$63.6M $144.63 256
2023 Q3 14.4M $1.94B -$5.58M $134.76 260
2023 Q2 14.4M $2B +$6.27M $138.34 248
2023 Q1 14.4M $1.81B +$57.6M $126.01 231
2022 Q4 14.1M $1.3B -$4.72M $92.07 215
2022 Q3 14M $1.19B -$28.3M $84.73 195
2022 Q2 14.3M $1.26B +$2.35M $88.13 192
2022 Q1 14.3M $1.35B -$17.1M $94.04 205
2021 Q4 14.5M $1.6B -$46.3M $110.55 219
2021 Q3 14.9M $1.49B -$47.3M $99.50 213
2021 Q2 15.2M $1.38B +$23.6M $90.92 192
2021 Q1 15.1M $1.08B -$8.71M $71.67 182
2020 Q4 15.5M $929M +$15.6M $60.10 176
2020 Q3 15.3M $569M -$4.1M $37.18 148
2020 Q2 15.4M $491M +$10.6M $31.91 138
2020 Q1 15M $393M +$221K $26.19 137
2019 Q4 15M $488M -$4.21M $32.59 138
2019 Q3 15.1M $473M +$570K $31.29 139
2019 Q2 15M $561M +$16.4M $37.35 132
2019 Q1 14.9M $514M +$5.63M $34.63 141
2018 Q4 14.7M $415M -$6.4M $28.17 125
2018 Q3 14.9M $486M +$1.22M $32.64 128
2018 Q2 14.8M $523M +$19.2M $35.46 137
2018 Q1 14.7M $454M -$2.1M $30.82 131
2017 Q4 14.7M $525M +$20.6M $35.73 131
2017 Q3 14.1M $410M -$4.22M $29.14 139
2017 Q2 14.4M $448M -$12M $31.02 139
2017 Q1 14.6M $599M +$79.1M $41.00 148
2016 Q4 14.5M $548M +$15M $37.68 155
2016 Q3 14.3M $429M -$6.67M $30.10 144
2016 Q2 14.5M $350M -$65.2M $24.08 133
2016 Q1 17.1M $429M -$39.7M $25.11 137
2015 Q4 18.7M $386M -$38.6M $20.61 122
2015 Q3 19.4M $510M -$28.3M $26.20 147
2015 Q2 20.3M $629M +$56.3M $30.96 151
2015 Q1 18.5M $580M +$6.71M $31.34 134
2014 Q4 18.3M $502M +$1.47M $27.40 111
2014 Q3 18.3M $442M -$11.8M $24.08 117
2014 Q2 18.5M $469M +$2.3M $25.33 125
2014 Q1 18.3M $462M -$3.18M $25.32 120