New Concept Energy, Inc. - COM (GBR)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
272K
Holdings value Q2 2024
$435K
Value change Q2 2024
+$111K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
9
Number of buys Q2 2024
1
Number of sells Q2 2024
-1
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 181K $208K -$1.32K $1.15 3
2024 Q2 272K $435K +$111K $1.60 9
2024 Q1 202K $212K +$98.3K $1.05 11
2023 Q4 109K $109K -$14.1K $1.00 8
2023 Q3 121K $139K -$8.57K $1.15 10
2023 Q2 128K $156K -$13.6K $1.22 12
2023 Q1 141K $149K +$1.97K $1.06 12
2022 Q4 138K $150K -$82.5K $1.09 10
2022 Q3 211K $235K -$102K $1.12 11
2022 Q2 296K $457K -$152K $1.55 10
2022 Q1 347K $983K -$167K $2.84 13
2021 Q4 414K $986K +$71.3K $2.38 9
2021 Q3 350K $1.49M -$418K $4.26 13
2021 Q2 409K $2.5M +$1.35M $6.11 16
2021 Q1 204K $875K +$547K $4.28 13
2020 Q4 116K $224K +$89K $1.93 3
2020 Q3 84.2K $120K -$17.1K $1.43 3
2020 Q2 97.8K $120K +$30.1K $1.22 5
2020 Q1 73.6K $55K -$37.6K $0.75 3
2019 Q4 104K $127K -$43K $1.22 4
2019 Q3 118K $195K -$19.6K $1.65 5
2019 Q2 124K $229K -$22.5K $1.84 8
2019 Q1 125K $282K +$83K $2.25 5
2018 Q4 99.2K $139K -$116K $1.40 6
2018 Q3 133K $317K +$177K $2.38 6
2018 Q2 58.2K $246K -$36.7K $4.23 3
2018 Q1 79.5K $108K +$30.7K $1.37 4
2017 Q4 57.3K $90K -$54.7K $1.57 3
2017 Q3 98.2K $128K +$27K $1.30 5
2017 Q2 88K $121K -$41.1K $1.37 4
2017 Q1 118K $213K -$31.3K $1.80 6
2016 Q4 125K $270K -$123K $2.15 6
2016 Q3 171K $511K +$423K $3.01 6
2016 Q2 34.5K $62K +$62K $1.74 4
2015 Q4 0 $0 -$29K 0
2015 Q3 22.5K $29K +$15.5K $1.29 2
2015 Q2 10.5K $16K +$12K $1.53 1
2015 Q1 2.02K $4K -$70K $2.03 2
2014 Q4 48.6K $73K +$29.5K $1.47 3
2014 Q3 32.1K $50K -$106K $1.54 3
2014 Q2 53.1K $177K +$154K $3.34 5
2014 Q1 11K $22K +$19.5K $2.02 2