NETSOL TECHNOLOGIES INC - COM PAR $.001 (NTWK)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM PAR $.001
Shares, excl. options Q2 2024
2M
Holdings value Q2 2024
$5.07M
Value change Q2 2024
+$288K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
22
Number of buys Q2 2024
12
Number of sells Q2 2024
-5
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 2M $5.07M +$288K $2.54 22
2024 Q1 1.88M $5.22M +$164K $2.77 20
2023 Q4 1.82M $3.99M -$73.3K $2.17 21
2023 Q3 1.86M $3.37M -$166K $1.81 21
2023 Q2 1.98M $4.66M -$108K $2.36 21
2023 Q1 1.99M $5.25M +$162K $2.64 19
2022 Q4 1.93M $5.55M -$299K $2.89 19
2022 Q3 2.02M $6.35M -$185K $3.14 17
2022 Q2 2.08M $6.64M -$327K $3.19 16
2022 Q1 2.18M $8.38M -$193K $3.85 17
2021 Q4 2.23M $8.81M +$185K $3.96 20
2021 Q3 2.38M $10.9M -$671K $4.58 17
2021 Q2 2.53M $11.9M +$402K $4.71 20
2021 Q1 2.48M $9.74M +$89.3K $3.93 19
2020 Q4 2.47M $9.37M -$1.99M $3.80 18
2020 Q3 3.02M $8.84M -$959K $2.93 19
2020 Q2 3.35M $9.02M +$59K $2.69 19
2020 Q1 3.33M $8.33M -$329K $2.50 19
2019 Q4 3.36M $13.4M -$98.5K $4.00 27
2019 Q3 3.48M $19.5M -$302K $5.59 30
2019 Q2 3.55M $19.8M -$508K $5.59 31
2019 Q1 3.61M $23.5M -$1.06M $6.51 39
2018 Q4 3.79M $23.3M +$5.45M $6.15 40
2018 Q3 2.87M $18.9M +$876K $6.60 19
2018 Q2 2.76M $15.3M +$3.24M $5.55 25
2018 Q1 2.18M $10M +$156K $4.60 18
2017 Q4 2.15M $10.1M +$107K $4.73 16
2017 Q3 2.17M $7.61M -$747K $3.50 21
2017 Q2 2.37M $9.37M +$452K $3.95 25
2017 Q1 2.24M $11.4M +$3.58M $5.10 24
2016 Q4 1.89M $9.84M +$605K $5.20 29
2016 Q3 1.76M $11M +$1.03M $6.26 31
2016 Q2 1.6M $9.35M +$248K $5.84 31
2016 Q1 1.56M $10.9M +$294K $6.98 29
2015 Q4 1.5M $11.6M +$758K $7.76 28
2015 Q3 1.4M $7.05M +$54.1K $5.03 22
2015 Q2 1.39M $7.16M -$530K $5.15 26
2015 Q1 1.47M $8.48M +$456K $5.77 26
2014 Q4 1.41M $5.86M -$351K $4.17 27
2014 Q3 1.51M $5.59M +$131K $3.70 32
2014 Q2 1.47M $5.72M -$255K $3.88 31
2014 Q1 1.51M $6.98M -$3.64M $4.63 31