NUANCE COMMUNICATIONS INC - COM (NUAN)

Historical Portfolio Holders from Q1 2014 to Q2 2022

All holders as of June 30, 2022
Q2 2022
Type / Class
Equity / COM
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2022 Q2 0 $0 -$13M 0
2022 Q1 11.9K $648K -$16.8B $55.12 4
2021 Q4 304M $16.9B -$338M $55.32 432
2021 Q3 309M $17B -$399M $55.04 425
2021 Q2 317M $17.2B +$1.33B $54.44 452
2021 Q1 299M $13B +$320M $43.64 423
2020 Q4 294M $12.9B +$429M $44.09 409
2020 Q3 282M $9.34B +$396M $33.19 354
2020 Q2 271M $6.87B +$334M $25.31 336
2020 Q1 260M $4.36B -$8.96M $16.78 330
2019 Q4 261M $4.65B +$32.8M $17.83 328
2019 Q3 259M $4.2B +$47.6M $16.31 307
2019 Q2 255M $4.08B -$10M $15.97 329
2019 Q1 257M $4.35B +$102M $16.93 323
2018 Q4 253M $3.34B -$43M $13.23 348
2018 Q3 255M $4.42B +$20.4M $17.32 299
2018 Q2 256M $3.55B -$14.8M $13.89 294
2018 Q1 255M $4.01B +$61.7M $15.75 352
2017 Q4 252M $4.11B +$49.2M $16.35 351
2017 Q3 249M $3.91B +$48.1M $15.72 368
2017 Q2 246M $4.29B -$18.6M $17.41 376
2017 Q1 246M $4.26B +$391M $17.31 374
2016 Q4 245M $3.65B +$42.9M $14.90 370
2016 Q3 241M $3.5B -$16.9M $14.50 345
2016 Q2 235M $3.67B -$25M $15.63 353
2016 Q1 239M $4.46B -$451M $18.69 361
2015 Q4 263M $5.23B +$246M $19.89 348
2015 Q3 250M $4.1B +$108M $16.37 311
2015 Q2 244M $4.27B -$58.9M $17.51 308
2015 Q1 249M $3.57B -$18.3M $14.35 288
2014 Q4 250M $3.57B -$21.3M $14.27 311
2014 Q3 252M $3.88B +$554K $15.42 313
2014 Q2 250M $4.69B -$144M $18.77 330
2014 Q1 255M $4.37B +$239M $17.17 330