MITEK SYSTEMS INC - COM NEW (MITK)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q2 2024
35.8M
Holdings value Q2 2024
$400M
Value change Q2 2024
+$8.92M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
154
Number of buys Q2 2024
18
Number of sells Q2 2024
-22
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 3.5M $30.3M -$9.23M $8.67 36
2024 Q2 35.8M $400M +$8.92M $11.18 155
2024 Q1 34.6M $488M -$3.63M $14.10 155
2023 Q4 35.1M $457M +$28.9M $13.04 159
2023 Q3 32.2M $346M -$18.4M $10.72 147
2023 Q2 34M $369M +$20.5M $10.84 147
2023 Q1 32.2M $308M +$5.13M $9.59 152
2022 Q4 31.7M $308M +$4.19M $9.69 157
2022 Q3 31.2M $287M +$3.66M $9.16 152
2022 Q2 31M $287M -$5.88M $9.24 155
2022 Q1 30.2M $442M +$1.56M $14.67 147
2021 Q4 30.1M $534M -$13.7M $17.75 159
2021 Q3 29.5M $547M -$630K $18.50 170
2021 Q2 29.4M $566M +$22.7M $19.26 165
2021 Q1 28.4M $415M +$22.5M $14.58 171
2020 Q4 26.6M $473M -$7.05M $17.78 153
2020 Q3 27.5M $351M -$649K $12.74 145
2020 Q2 27.9M $268M +$4.66M $9.61 127
2020 Q1 27.6M $217M +$11.2M $7.88 116
2019 Q4 26.1M $200M +$2.18M $7.65 125
2019 Q3 23.3M $225M -$7.08M $9.65 122
2019 Q2 24.3M $241M +$15.4M $9.94 127
2019 Q1 22.3M $273M +$28.8M $12.24 126
2018 Q4 20M $216M +$25.2M $10.81 112
2018 Q3 17.7M $124M +$1.7M $7.05 103
2018 Q2 17.4M $155M +$13M $8.90 107
2018 Q1 16.1M $119M -$4.06M $7.40 111
2017 Q4 16.4M $147M +$9.3M $8.95 123
2017 Q3 15.2M $145M +$8.55M $9.50 119
2017 Q2 14.4M $121M +$11.2M $8.40 107
2017 Q1 13M $86.3M +$14.6M $6.65 95
2016 Q4 12.8M $78.8M -$14.6M $6.15 102
2016 Q3 14.3M $118M +$3.91M $8.29 101
2016 Q2 14M $99.3M +$29.9M $7.11 100
2016 Q1 10.3M $67.6M +$9.2M $6.54 86
2015 Q4 9.09M $37.4M +$18.4M $4.11 72
2015 Q3 4.64M $14.8M +$1.27M $3.19 50
2015 Q2 4.23M $16M +$478K $3.79 53
2015 Q1 4.11M $13M -$2.24M $3.16 46
2014 Q4 4.73M $15.6M -$1.6M $3.31 47
2014 Q3 5.25M $12.7M -$5.56M $2.41 48
2014 Q2 7.1M $23.7M -$14.2M $3.33 64
2014 Q1 11M $42.5M -$1.07M $3.87 66