NANOSTRING TECHNOLOGIES INC - COM (NSTGQ)

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
0
Holdings value Q2 2024
$0
Value change Q2 2024
-$136K
Grand Portfolio weight change Q2 2024
0%
Number of holders
0
Number of buys Q2 2024
0
Number of sells Q2 2024
-6
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 0 $0 -$136K 0
2024 Q1 1.7M $136K -$26.1M $0.08 6
2023 Q4 37.8M $28.3M -$19.2M $0.75 86
2023 Q3 49.1M $84.5M -$16.6M $1.72 115
2023 Q2 48.4M $196M -$22.5M $4.05 139
2023 Q1 47M $465M +$14.8M $9.90 151
2022 Q4 45.7M $365M -$51.3M $7.97 155
2022 Q3 50.2M $641M +$16.6M $12.77 149
2022 Q2 48.9M $621M -$129M $12.70 155
2022 Q1 49.6M $1.72B +$25.9M $34.75 171
2021 Q4 48.6M $2.05B -$2.2M $42.23 177
2021 Q3 48.3M $2.32B -$57.3M $48.01 189
2021 Q2 49.3M $3.19B +$1.4M $64.79 197
2021 Q1 49.3M $3.24B +$41.5M $65.71 193
2020 Q4 48.7M $3.26B +$450M $66.88 186
2020 Q3 41.4M $1.85B +$51.4M $44.70 145
2020 Q2 42.7M $1.25B +$31.2M $29.35 127
2020 Q1 41.8M $1.01B +$72.8M $24.05 119
2019 Q4 38.9M $1.08B +$3.03M $27.82 111
2019 Q3 38.9M $841M +$59.2M $21.59 112
2019 Q2 35.4M $1.07B +$109M $30.35 138
2019 Q1 32.8M $785M +$137M $23.93 134
2018 Q4 27.3M $405M +$55.9M $14.83 94
2018 Q3 23.4M $417M +$99.6M $17.83 88
2018 Q2 21.9M $299M -$1.82M $13.68 80
2018 Q1 22.1M $166M -$9.83M $7.51 76
2017 Q4 23.4M $175M -$15.5M $7.47 82
2017 Q3 23.4M $378M -$3.6M $16.16 92
2017 Q2 23.4M $388M +$60.4M $16.54 87
2017 Q1 19.6M $389M +$18.3M $19.87 87
2016 Q4 19.7M $440M +$52.3M $22.30 110
2016 Q3 17.4M $348M +$14.6M $19.98 101
2016 Q2 17M $214M +$10.3M $12.60 85
2016 Q1 16.1M $245M +$11.7M $15.22 73
2015 Q4 15.2M $224M -$2.18M $14.71 72
2015 Q3 15.3M $245M +$5.9M $16.00 62
2015 Q2 15M $231M +$24.5M $15.42 63
2015 Q1 13.6M $139M -$5.11M $10.19 60
2014 Q4 13.4M $187M +$2.42M $13.93 58
2014 Q3 13.3M $145M +$5.62M $10.94 58
2014 Q2 8.62M $129M +$10.4M $14.95 66
2014 Q1 7.65M $158M +$75.8M $20.65 60