McEwen Mining Inc. - COM (MUX)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
585K
Holdings value Q3 2024
$5.44M
Value change Q3 2024
+$5.44M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
1
Number of buys Q3 2024
1
Number of sells Q3 2024
0
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 585K $5.44M +$5.44M $9.30 1
2024 Q2 0 $0 -$5.77M 0
2024 Q1 585K $5.77M +$5.77M $9.86 1
2023 Q4 0 $0 -$3.8M 0
2023 Q3 585K $3.8M $0 $6.50 1
2023 Q2 585K $4.21M +$4.21M $7.19 1
2022 Q4 0 $0 -$179K 0
2022 Q3 55K $179K -$40M $3.25 1
2022 Q2 90.8M $39.9M -$7.8M $0.44 93
2022 Q1 99M $83.4M -$10.9M $0.84 111
2021 Q4 112M $99.3M -$2.85M $0.89 111
2021 Q3 115M $119M -$27M $1.04 110
2021 Q2 134M $184M +$35.3M $1.38 109
2021 Q1 109M $114M +$16.3M $1.04 114
2020 Q4 82.8M $81.5M +$15.9M $0.99 110
2020 Q3 65.5M $69.4M -$4.22M $1.06 117
2020 Q2 69.4M $70.1M -$5.67M $1.01 107
2020 Q1 75.6M $50M -$15.3M $0.66 93
2019 Q4 94.6M $120M -$5.21M $1.27 119
2019 Q3 97.8M $153M +$9.31M $1.56 102
2019 Q2 91.6M $160M +$1.43M $1.75 103
2019 Q1 90.9M $136M -$8.17M $1.50 104
2018 Q4 97.4M $177M -$11M $1.82 109
2018 Q3 103M $201M +$3.18M $1.94 114
2018 Q2 106M $219M -$4.78M $2.07 115
2018 Q1 108M $225M +$19.2M $2.08 114
2017 Q4 99.1M $226M +$15.2M $2.28 110
2017 Q3 92.6M $181M -$4.32M $1.95 107
2017 Q2 89.9M $237M -$19.7M $2.63 114
2017 Q1 97.4M $296M +$24.7M $3.04 105
2016 Q4 95.9M $279M -$11.9M $2.91 104
2016 Q3 99.6M $366M +$85M $3.67 101
2016 Q2 77.6M $299M +$77.2M $3.85 97
2016 Q1 57.4M $108M +$9.53M $1.88 77
2015 Q4 52.6M $55.8M -$3.98M $1.06 78
2015 Q3 56.6M $49.5M -$1.5M $0.87 74
2015 Q2 58.9M $56.1M -$704K $0.96 77
2015 Q1 57.8M $58.9M -$9.34M $1.02 84
2014 Q4 66.4M $73.8M -$38.7M $1.11 93
2014 Q3 98.4M $193M +$1.89M $1.96 102
2014 Q2 95.9M $276M +$11.7M $2.88 99
2014 Q1 93.5M $222M -$5.14M $2.37 112