NEVRO CORP - COM (NVRO)

Historical Portfolio Holders from Q4 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
37.3M
Holdings value Q2 2024
$314M
Value change Q2 2024
-$7.44M
Grand Portfolio weight change Q2 2024
0%
Number of holders
148
Number of buys Q2 2024
8
Number of sells Q2 2024
-13
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 963K $5.39M +$779K $5.59 14
2024 Q2 37.3M $314M -$7.44M $8.42 150
2024 Q1 37.2M $538M -$19M $14.44 150
2023 Q4 38.3M $823M +$74.4M $21.52 144
2023 Q3 34.8M $670M -$44.9M $19.22 136
2023 Q2 36.2M $919M +$15.6M $25.42 154
2023 Q1 35.4M $1.28B -$101M $36.15 159
2022 Q4 38.1M $1.51B +$60.3M $39.60 170
2022 Q3 35.1M $1.63B -$15.3M $46.60 176
2022 Q2 34.8M $1.53B -$105M $43.83 175
2022 Q1 36.3M $2.62B -$66.1M $72.33 194
2021 Q4 36.5M $2.96B -$82.8M $81.07 205
2021 Q3 37.5M $4.37B -$153M $116.38 187
2021 Q2 38.4M $6.36B +$160M $165.79 203
2021 Q1 37.6M $5.24B +$150M $139.50 197
2020 Q4 36.5M $6.32B +$101M $173.10 224
2020 Q3 36M $5.02B -$152M $139.30 211
2020 Q2 37.2M $4.45B +$454M $119.47 199
2020 Q1 33.4M $3.34B +$76.2M $99.98 178
2019 Q4 32.4M $3.81B -$21.5M $117.54 191
2019 Q3 32.5M $2.79B -$92.3M $85.97 156
2019 Q2 33.8M $2.19B +$237M $64.83 157
2019 Q1 32M $2B +$62M $62.51 171
2018 Q4 31.8M $1.24B -$112M $38.89 154
2018 Q3 31.8M $1.81B -$220M $57.00 169
2018 Q2 33.8M $2.7B +$81.9M $79.85 191
2018 Q1 32.7M $2.83B +$29.9M $86.67 196
2017 Q4 32.4M $2.24B -$52.6M $69.04 192
2017 Q3 32.7M $2.97B +$57.8M $90.88 182
2017 Q2 32.2M $2.39B +$170M $74.43 199
2017 Q1 29.7M $2.78B +$209M $93.70 190
2016 Q4 29.5M $2.14B +$8.82M $72.66 172
2016 Q3 28.7M $3B +$30.3M $104.39 188
2016 Q2 28.6M $2.11B +$103M $73.76 169
2016 Q1 27.5M $1.55B +$198M $56.26 136
2015 Q4 24.1M $1.62B +$87.9M $67.51 125
2015 Q3 23.1M $1.07B +$159M $46.39 108
2015 Q2 19.6M $1.05B +$385M $53.75 112
2015 Q1 12M $574M +$20.4M $47.93 77
2014 Q4 12M $463M +$460M $38.67 72