NORTHERN OIL & GAS, INC. - COM (NOG)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
17.8K
Holdings value Q2 2024
$662K
Value change Q2 2024
$0
Grand Portfolio weight change Q2 2024
0%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
0
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 17.8K $662K $0 $37.18 2
2024 Q1 17.8K $706K +$281K $39.64 2
2023 Q4 10.7K $397K -$308K $37.03 1
2023 Q3 18.4K $739K $0 $40.23 2
2023 Q2 18.4K $631K -$39.5K $34.35 2
2023 Q1 19.5K $592K -$23.9M $30.33 2
2022 Q4 795K $24.5M +$12.9M $30.82 3
2022 Q3 378K $10.4M -$13.7M $27.41 3
2022 Q2 879K $22.2M +$15.3M $25.26 3
2022 Q1 274K $7.71M -$2.06M $28.16 2
2021 Q4 347K $7.14M +$7.14M $129.34 2
2021 Q3 1 $21.00 -$117K $21.00 1
2021 Q2 5.61K $117K +$117K $20.84 1
2021 Q1 0 $0 -$5.67M 0
2020 Q4 647K $5.67M -$511K $8.77 5
2020 Q3 750K $4.31M -$149M $5.74 6
2020 Q2 179M $150M +$1.03M $0.84 116
2020 Q1 178M $118M -$60.5M $0.66 123
2019 Q4 210M $491M +$41.9M $2.34 153
2019 Q3 194M $380M +$13.5M $1.96 148
2019 Q2 181M $350M +$9.51M $1.93 154
2019 Q1 179M $491M -$24.8M $2.74 146
2018 Q4 193M $435M +$121M $2.26 133
2018 Q3 137M $547M +$115M $4.00 138
2018 Q2 110M $348M +$267M $3.15 124
2018 Q1 13.3M $26.2M -$7.11M $1.98 65
2017 Q4 16.7M $34.2M -$2.88M $2.05 61
2017 Q3 21.2M $19.1M -$10.1M $0.90 53
2017 Q2 29.3M $41.1M -$18M $1.40 94
2017 Q1 38M $98.5M +$18.4M $2.60 118
2016 Q4 36.6M $101M -$6.33M $2.75 125
2016 Q3 38.9M $104M -$7.9M $2.68 129
2016 Q2 39.3M $181M -$6.65M $4.62 139
2016 Q1 40.7M $163M -$33.6M $3.99 125
2015 Q4 49.1M $190M -$24.5M $3.86 128
2015 Q3 54.8M $242M -$4.28M $4.42 119
2015 Q2 54.8M $370M +$9.57M $6.77 136
2015 Q1 53.1M $409M -$2.88M $7.71 143
2014 Q4 53.9M $305M -$75.8M $5.65 157
2014 Q3 56.4M $802M +$25.8M $14.22 152
2014 Q2 54.1M $881M +$19.1M $16.29 157
2014 Q1 52.8M $773M +$5.06M $14.62 151