ORGANIGRAM HOLDINGS INC. - Common Shares, no par value (OGI) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2018 to Q1 2025

Type / Class
Equity / Common Shares, no par value
Symbol
OGI on Nasdaq
Shares outstanding
133,781,297
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ORGANIGRAM HOLDINGS INC. - Common Shares, no par value (OGI) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BT DE Investments Inc. 30% $15,652,412 40,134,389 BT DE Investments Inc. 28 Feb 2025

Institutional Holders of ORGANIGRAM HOLDINGS INC. - Common Shares, no par value (OGI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q1 0 $0 -$7,996 0
2024 Q4 5,000 $7,996 -$1,060 $1.60 1
2024 Q3 5,663 $10,270 $1.81 1
2024 Q2 5,663 $8,733 -$190 $1.54 1
2024 Q1 5,959 $12,299 $1.39 2
2023 Q4 5,663 $7,907 $1.40 1
2023 Q3 0 $0 -$6,018,028 0
2023 Q2 15,396,021 $6,018,090 -$1,687,688 $0.39 66
2023 Q1 25,007,956 $16,025,241 +$3,333,990 $0.64 101
2022 Q4 19,661,361 $15,851,698 -$13,056,233 $0.80 110
2022 Q3 33,380,627 $29,260,170 -$2,695,339 $0.87 95
2022 Q2 36,158,600 $34,139,356 -$5,106,334 $0.92 108
2022 Q1 41,525,010 $70,488,940 -$11,818,568 $1.66 106
2021 Q4 48,616,573 $85,883,446 +$3,286,319 $1.75 116
2021 Q3 43,515,694 $100,449,122 +$5,577,336 $2.30 110
2021 Q2 40,905,373 $117,107,491 +$18,118,282 $2.86 121
2021 Q1 34,296,439 $118,740,683 +$729,894 $3.46 111
2020 Q4 33,710,343 $44,825,616 +$12,526,193 $1.33 72
2020 Q3 24,283,960 $25,499,932 +$4,439,972 $1.05 69
2020 Q2 19,145,658 $29,862,651 -$372,610 $1.56 76
2020 Q1 18,586,064 $37,183,796 +$1,760,366 $2.00 91
2019 Q4 18,547,586 $45,452,989 -$2,714,825 $2.45 98
2019 Q3 18,179,346 $62,513,716 -$17,034,689 $3.44 93
2019 Q2 21,264,156 $136,897,316 +$135,993,628 $6.44 75
2019 Q1 139,885 $943,000 +$493,277 $6.74 10
2018 Q4 71,322 $251,000 +$96,225 $3.52 9
2018 Q3 44,201 $235,000 +$227,000 $5.32 6
2018 Q2 1,469 $6,000 +$6,000 $4.08 1