MEXCO ENERGY CORP - COM (MXC)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
131K
Holdings value Q2 2024
$1.48M
Value change Q2 2024
-$134K
Grand Portfolio weight change Q2 2024
0%
Number of holders
9
Number of buys Q2 2024
0
Number of sells Q2 2024
-2
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 Q3 63.8K $774K -$23K $12.14 3
2024 Q2 131K $1.48M -$134K $11.32 9
2024 Q1 144K $1.43M +$220K $9.98 11
2023 Q4 123K $1.12M -$116K $9.13 9
2023 Q3 130K $1.69M -$109K $12.99 10
2023 Q2 140K $1.68M -$76.8K $12.01 9
2023 Q1 146K $1.66M -$64.8K $11.38 11
2022 Q4 152K $1.89M -$30K $12.48 14
2022 Q3 153K $2.48M -$281K $16.21 10
2022 Q2 170K $2.93M +$776K $17.14 10
2022 Q1 125K $2.03M +$493K $16.20 6
2021 Q4 108K $1.01M +$209K $9.39 8
2021 Q3 85.5K $889K +$553K $10.39 6
2021 Q2 32.4K $315K +$113K $9.67 4
2021 Q1 20.9K $185K +$92.9K $8.85 3
2020 Q4 14K $84K +$65.90 $6.00 3
2020 Q3 13.9K $67K +$8.68K $4.81 3
2020 Q2 16.2K $53K -$26K $3.28 3
2020 Q1 28.3K $63K +$26K $2.23 3
2019 Q4 16.1K $63K -$5.94K $3.91 3
2019 Q3 17.5K $70K -$13.6K $4.00 6
2019 Q2 21.2K $83K -$359K $3.96 6
2019 Q1 93.8K $465K -$11.8K $4.98 6
2018 Q4 96.1K $266K -$163K $2.76 6
2018 Q3 124K $694K +$86.8K $5.60 8
2018 Q2 108K $649K -$41K $5.99 5
2018 Q1 122K $375K -$889K $3.08 5
2017 Q4 349K $1.37M +$32K $3.93 9
2017 Q3 343K $1.53M +$60.2K $4.44 10
2017 Q2 329K $1.42M +$63.8K $4.31 7
2017 Q1 316K $1.22M -$56.4K $3.86 6
2016 Q4 328K $1.64M +$114K $5.00 9
2016 Q3 305K $1.25M -$10.2K $4.10 6
2016 Q2 308K $761K -$3.29K $2.47 7
2016 Q1 239K $581K -$73K $2.45 6
2015 Q4 331K $1.07M -$3.43K $3.23 6
2015 Q3 332K $830K -$19K $2.49 6
2015 Q2 340K $1.59M -$11.2K $4.68 6
2015 Q1 342K $1.9M -$25.6K $5.58 7
2014 Q4 347K $1.88M -$8K $5.56 7
2014 Q3 348K $2.41M -$33.7K $6.92 7
2014 Q2 350K $2.91M +$232K $8.32 10
2014 Q1 321K $2.47M +$1.56M $7.72 6