MISONIX INC - COM (MSON) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2022

Type / Class
Equity / COM
Symbol
MSON
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of MISONIX INC - COM (MSON) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q3 0 $0 -$9,000 0
2022 Q2 331 $9,000 $27.19 1
2022 Q1 331 $9,000 $27.19 1
2021 Q4 331 $9,000 -$189,144,093 $27.19 1
2021 Q3 7,479,430 $189,232,497 +$12,589,613 $25.30 67
2021 Q2 7,271,568 $161,279,267 -$2,592,375 $22.18 57
2021 Q1 7,177,113 $140,604,949 +$6,202,607 $19.59 52
2020 Q4 6,967,506 $87,104,513 -$2,077,826 $12.50 56
2020 Q3 7,152,624 $83,901,732 +$506,682 $11.73 56
2020 Q2 7,084,138 $96,129,964 +$6,956,774 $13.57 54
2020 Q1 6,531,837 $61,528,718 +$8,700,228 $9.42 49
2019 Q4 5,123,956 $95,351,830 +$5,688,674 $18.61 45
2019 Q3 4,415,091 $88,672,864 +$32,409,212 $20.10 50
2019 Q2 2,638,534 $67,009,277 +$17,386,797 $25.42 47
2019 Q1 2,041,882 $39,293,461 +$5,976,111 $19.23 36
2018 Q4 1,731,521 $27,652,207 +$3,193,697 $16.01 30
2018 Q3 1,519,806 $28,088,950 +$6,042,348 $18.49 31
2018 Q2 1,219,300 $15,136,680 +$2,783,113 $12.40 24
2018 Q1 998,438 $9,974,000 -$374,345 $10.11 16
2017 Q4 1,038,099 $9,906,000 +$460,679 $9.47 20
2017 Q3 971,888 $9,766,000 -$15,620 $10.07 16
2017 Q2 973,345 $9,359,000 -$42,970 $9.57 16
2017 Q1 977,762 $11,471,000 +$740,196 $11.78 18
2016 Q4 931,212 $9,730,000 -$171,063 $10.45 18
2016 Q3 947,482 $5,040,000 -$594,704 $5.35 18
2016 Q2 1,062,767 $5,417,000 -$491,704 $5.16 18
2016 Q1 1,138,537 $6,918,000 +$3,059 $6.07 21
2015 Q4 1,138,545 $10,688,000 +$301,408 $9.40 23
2015 Q3 1,104,788 $12,005,000 -$826,423 $10.73 22
2015 Q2 1,196,158 $11,361,000 +$693,460 $9.50 23
2015 Q1 1,118,236 $14,592,000 +$1,487,185 $13.04 23
2014 Q4 1,004,504 $12,423,000 +$1,617,977 $12.37 19
2014 Q3 875,268 $10,519,000 -$128,406 $12.01 18
2014 Q2 886,217 $5,988,000 -$246,502 $6.73 16
2014 Q1 925,099 $5,901,000 -$94,399 $6.38 17