METHODE ELECTRONICS INC - COM (MEI)

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
34.1M
Holdings value Q2 2024
$353M
Value change Q2 2024
-$2.9M
Grand Portfolio weight change Q2 2024
0%
Number of holders
163
Number of buys Q2 2024
95
Number of sells Q2 2024
-94
Average buys Q2 2024 %
+0%
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 34.1M $353M -$2.9M $10.35 164
2024 Q1 34.3M $417M -$24.1M $12.18 169
2023 Q4 33M $751M +$16.7M $22.73 177
2023 Q3 33M $755M -$23.6M $22.85 184
2023 Q2 33.2M $1.11B -$54.1M $33.52 189
2023 Q1 34.5M $1.51B +$13.4M $43.88 194
2022 Q4 34.3M $1.52B -$24.4M $44.37 195
2022 Q3 34.9M $1.3B -$21M $37.15 183
2022 Q2 35.5M $1.31B +$5.73M $37.04 195
2022 Q1 35.2M $1.52B +$629K $43.25 191
2021 Q4 34.9M $1.72B +$7.95M $49.17 191
2021 Q3 34.9M $1.47B +$4.13M $42.05 196
2021 Q2 35.5M $1.74B +$51.1M $49.21 210
2021 Q1 35.1M $1.47B -$3.99M $41.98 212
2020 Q4 34.8M $1.33B +$24.8M $38.28 206
2020 Q3 34.7M $989M -$8.91M $28.50 192
2020 Q2 34.9M $1.09B +$3.71M $31.26 212
2020 Q1 34.9M $924M -$7.14M $26.43 201
2019 Q4 35M $1.38B -$9.61M $39.35 215
2019 Q3 34.9M $1.18B +$12.4M $33.64 191
2019 Q2 34.9M $996M +$9.87M $28.57 182
2019 Q1 34.8M $1B -$24.2M $28.78 189
2018 Q4 35.8M $833M +$1.14M $23.29 183
2018 Q3 35.2M $1.27B -$24M $36.20 200
2018 Q2 35.6M $1.43B +$45.5M $40.30 213
2018 Q1 34.8M $1.36B -$21.1M $39.10 221
2017 Q4 35.3M $1.42B +$56.8M $40.10 231
2017 Q3 33.6M $1.42B +$2.8M $42.35 215
2017 Q2 33.8M $1.4B +$13.6M $41.20 231
2017 Q1 33.7M $1.54B +$183M $45.60 213
2016 Q4 33.8M $1.4B +$4.96M $41.35 217
2016 Q3 33.8M $1.18B -$22.2M $34.97 203
2016 Q2 34.2M $1.17B +$39.3M $34.23 197
2016 Q1 33.4M $977M -$17.2M $29.24 192
2015 Q4 34M $1.08B -$2.59M $31.83 209
2015 Q3 33.5M $1.07B +$16.3M $31.90 200
2015 Q2 33.3M $913M -$55.6M $27.45 222
2015 Q1 33.5M $1.57B +$1.34M $47.04 223
2014 Q4 33.7M $1.23B -$44.3M $36.51 214
2014 Q3 34.8M $1.28B +$5.8M $36.87 202
2014 Q2 34.1M $1.3B +$27.7M $38.21 189
2014 Q1 34.1M $1.05B +$12.4M $30.66 196