LESAKA TECHNOLOGIES INC - COM NEW (LSAK)

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
15.3M
Holdings value Q2 2024
$71.6M
Value change Q2 2024
+$8.27M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
23
Number of buys Q2 2024
9
Number of sells Q2 2024
-9
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 0 $0 -$67 0
2024 Q2 15.3M $71.6M +$8.27M $4.68 24
2024 Q1 13.5M $50.8M +$120K $3.75 22
2023 Q4 15M $48.7M -$167K $3.24 24
2023 Q3 15.2M $59.4M +$1.39M $3.90 24
2023 Q2 14.9M $56.7M -$1.88M $3.81 27
2023 Q1 15.4M $73.9M -$1.58M $4.80 28
2022 Q4 15.7M $71.6M +$1.78M $4.55 29
2022 Q3 15.9M $56M +$785K $3.52 35
2022 Q2 15.6M $80.1M +$1.55M $5.14 34
2022 Q1 15.3M $89.6M +$6.18M $5.87 31
2021 Q4 14.4M $76.5M -$2.75M $5.32 39
2021 Q3 13.1M $60.9M -$3.7M $4.65 40
2021 Q2 13.9M $65.2M +$10.1M $4.71 45
2021 Q1 11.6M $64.9M +$4.07M $5.60 47
2020 Q4 10.9M $53.7M -$12.7M $4.92 44
2020 Q3 14.2M $48M -$5.33M $3.37 40
2020 Q2 15.9M $48.4M -$22.4M $3.04 50
2020 Q1 23.3M $68.1M -$11.9M $2.91 52
2019 Q4 27.6M $102M -$8.08M $3.72 58
2019 Q3 29.5M $105M -$3.19M $3.57 60
2019 Q2 30.3M $121M -$3.8M $4.00 69
2019 Q1 31.4M $113M -$2.01M $3.59 81
2018 Q4 23.3M $109M +$1.19M $4.69 81
2018 Q3 29.7M $237M -$5.55M $8.00 93
2018 Q2 30.4M $276M -$12.8M $9.08 89
2018 Q1 32M $303M -$5.27M $9.46 89
2017 Q4 32.2M $383M +$3.98M $11.89 99
2017 Q3 32M $311M -$5.05M $9.74 88
2017 Q2 32.5M $320M +$5.71M $9.86 90
2017 Q1 32M $392M +$6.85M $12.23 101
2016 Q4 32.1M $368M -$12.2M $11.48 96
2016 Q3 33.1M $283M -$32.9M $8.56 111
2016 Q2 36.1M $360M -$9.82M $9.99 118
2016 Q1 37.4M $344M -$29.6M $9.20 116
2015 Q4 30.1M $406M +$7.04M $13.51 135
2015 Q3 29.5M $494M -$10.3M $16.74 127
2015 Q2 30.1M $551M -$5.97M $18.28 109
2015 Q1 30.7M $420M +$15.7M $13.68 112
2014 Q4 29.6M $337M +$6.06M $11.40 105
2014 Q3 29.1M $351M +$8.92M $12.05 101
2014 Q2 28.3M $322M +$12.1M $11.38 82
2014 Q1 27.2M $271M -$4.29M $9.96 71