NEW RESIDENTIAL INVT CORP - COM (NRZ) Institutional Ownership

CUSIP: 64828T102

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2021

Type / Class
Equity / COM
Symbol
NRZ
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 64828T102?
CUSIP 64828T102 identifies NRZ - NEW RESIDENTIAL INVT CORP - COM in SEC 13F datasets.

Where can I see the latest institutional holders?
Use the ownership history tables below to review the newest available institutional filing periods.

Institutional Holders of NEW RESIDENTIAL INVT CORP - COM (NRZ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q2 0 $0 -$169,000 0
2021 Q1 15,000 $169,000 $11.27 1
2020 Q4 15,000 $149,000 $9.93 1
2020 Q3 15,000 $119,000 $7.93 1
2020 Q2 15,000 $111,000 -$1,528,000 $7.40 1
2020 Q1 319,959 $1,603,000 -$14,460 $5.01 2
2019 Q4 322,845 $5,201,000 -$23,777 $16.12 2
2019 Q3 324,321 $5,085,000 -$35,404 $15.67 2
2019 Q2 326,579 $5,026,000 +$2,570 $15.39 2
2019 Q1 326,412 $5,520,000 -$961,125 $16.92 2
2018 Q4 392,898 $5,583,000 -$3,343,737 $14.21 3
2018 Q3 624,757 $11,133,000 -$1,168,097 $17.82 4
2018 Q2 690,309 $12,072,000 -$978,125 $17.48 4
2018 Q1 746,239 $12,275,750 -$638,863 $16.45 4
2017 Q4 785,077 $14,036,200 -$416,696 $17.88 4
2017 Q3 808,383 $13,523,950 -$9,451,842 $16.73 4
2017 Q2 1,412,487 $21,978,400 -$16,586,961 $15.56 5
2017 Q1 2,478,435 $42,083,700 +$2,323,046 $16.98 5
2016 Q4 2,341,622 $36,810,800 +$14,727,843 $15.72 4
2016 Q3 1,404,735 $19,399,150 -$8,726,228 $13.81 4
2016 Q2 2,035,370 $28,169,600 -$1,024,799 $13.84 5
2016 Q1 2,120,975 $24,694,750 +$4,204,573 $11.63 6
2015 Q4 1,758,803 $21,386,000 -$12,617,335 $12.16 5
2015 Q3 2,743,666 $35,941,000 +$1,863,354 $13.10 7
2015 Q2 2,601,018 $39,640,000 -$712,448 $15.24 7
2015 Q1 2,652,447 $39,801,000 +$3,878,727 $15.03 7
2014 Q4 2,416,455 $30,857,000 -$961,222,503 $12.77 11
2014 Q3 170,058,487 $991,040,755 -$65,327,106 $5.83 167
2014 Q2 178,531,564 $1,123,832,660 +$133,993,569 $6.30 202
2014 Q1 158,224,719 $1,023,452,829 +$53,753,137 $6.47 188