MEDICINE MAN TECHNOLOGIES - COM (SHWZ) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2016 to Q4 2025

Type / Class
Equity / COM
Symbol
SHWZ on OTC
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
0
Total reported value
$0
Share change
-281,724
Value change
-$28
Number of holders
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 0 institutional investors reported holding 0 shares of MEDICINE MAN TECHNOLOGIES - COM (SHWZ).

Institutional Holders of MEDICINE MAN TECHNOLOGIES - COM (SHWZ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 0 $0 -$28 0
2025 Q3 281,724 $28 $0.00 1
2025 Q2 281,724 $563 $0.00 1
2025 Q1 281,724 $1,549 $0.01 1
2024 Q4 281,724 $5,634 -$1,000 $0.02 1
2024 Q3 291,724 $31,990 $0.10 2
2024 Q2 291,724 $115,281 $0.40 2
2024 Q1 291,724 $239,014 -$12,500 $0.81 2
2023 Q4 306,724 $187,010 -$8,000 $0.61 1
2023 Q3 316,724 $250,619 $0.80 2
2023 Q2 316,724 $342,262 -$8,267 $1.09 2
2023 Q1 324,024 $366,632 +$19,267 $1.13 3
2022 Q4 306,724 $434,229 -$19,820 $1.42 1
2022 Q3 320,724 $327,000 -$2,345 $1.02 1
2022 Q2 323,024 $370,000 $1.15 1
2022 Q1 323,024 $675,000 -$30,300 $2.09 1
2021 Q4 337,524 $599,000 +$3,372 $1.77 1
2021 Q3 335,624 $597,000 -$9,465 $1.78 1
2021 Q2 340,945 $817,000 -$59,907 $2.40 1
2021 Q1 365,945 $834,000 -$216,508 $2.28 1
2020 Q4 460,945 $687,000 -$70,795 $1.49 1
2020 Q3 508,445 $590,000 -$47,565 $1.16 1
2020 Q2 549,435 $972,000 $1.77 1
2020 Q1 549,435 $764,000 -$10,391 $1.39 1
2019 Q4 553,935 $1,484,000 +$9,000 $2.63 2
2019 Q3 550,435 $1,993,000 -$86,691 $3.62 1
2019 Q2 575,408 $1,865,000 -$350,273 $3.26 2
2019 Q1 683,640 $1,497,000 -$32,846 $2.19 1
2018 Q4 698,640 $880,000 -$1,000 $1.26 1
2018 Q3 698,890 $1,140,000 -$3,076 $2.82 2
2018 Q2 701,140 $1,017,000 -$145 $1.45 1
2018 Q1 701,240 $1,220,000 -$89,181 $1.74 1
2017 Q4 752,500 $1,738,000 -$23,096 $2.31 1
2017 Q3 762,500 $770,000 $1.01 1
2017 Q2 762,500 $1,060,000 +$3,475 $1.39 1
2017 Q1 760,000 $1,430,000 $1.88 1
2016 Q4 760,000 $2,082,000 +$2,082,000 $2.74 1