ORION ENERGY SYSTEMS, INC. - COM (OESX)

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
15.1M
Holdings value Q2 2024
$16.8M
Value change Q2 2024
-$241K
Grand Portfolio weight change Q2 2024
0%
Number of holders
43
Number of buys Q2 2024
14
Number of sells Q2 2024
-21
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 15.1M $16.8M -$241K $1.11 43
2024 Q1 15.4M $13.4M -$119K $0.87 46
2023 Q4 15.5M $13.4M -$1.21M $0.87 49
2023 Q3 15.4M $19.4M -$460K $1.26 49
2023 Q2 16.3M $26.6M +$372K $1.63 53
2023 Q1 16.1M $32.6M +$297K $2.03 52
2022 Q4 15.9M $29M +$588K $1.82 54
2022 Q3 15.6M $24.3M -$1.16M $1.56 47
2022 Q2 15.8M $31.8M -$2.72M $2.01 55
2022 Q1 16.8M $47M +$489K $2.80 68
2021 Q4 16.5M $59.7M -$3.68M $3.62 73
2021 Q3 17.4M $67.7M -$7.93M $3.89 66
2021 Q2 19M $109M -$11.8M $5.73 76
2021 Q1 20.9M $146M +$16.1M $6.96 88
2020 Q4 18.6M $184M +$9.65M $9.87 79
2020 Q3 17.7M $134M +$20.2M $7.57 78
2020 Q2 15.2M $52.6M +$1.87M $3.46 75
2020 Q1 14.5M $53.6M +$6.07M $3.70 64
2019 Q4 12.9M $43.1M +$4.21M $3.35 54
2019 Q3 11.6M $33M +$3.2M $2.85 51
2019 Q2 10.5M $31.1M +$695K $2.97 42
2019 Q1 10.2M $9.05M -$327K $0.89 20
2018 Q4 10.6M $6.06M -$1.17M $0.57 20
2018 Q3 12.1M $11.6M +$94.6K $0.96 24
2018 Q2 12M $13.2M +$7.48K $1.10 27
2018 Q1 12M $10.2M -$547K $0.85 29
2017 Q4 12.6M $11.1M -$268K $0.88 31
2017 Q3 12.8M $14.3M -$66.3K $1.12 31
2017 Q2 12.9M $16.5M -$16.6K $1.28 36
2017 Q1 12.7M $25.2M -$347K $1.98 44
2016 Q4 12.9M $28.1M +$1.07M $2.17 46
2016 Q3 12.5M $16.6M +$738K $1.33 39
2016 Q2 11.9M $13.8M +$123K $1.16 37
2016 Q1 11.8M $16.4M +$26.2K $1.39 40
2015 Q4 11.6M $25.1M +$789K $2.17 45
2015 Q3 12.4M $22.3M -$778K $1.80 47
2015 Q2 11.3M $28.5M -$962K $2.51 49
2015 Q1 11.5M $36.1M +$5.49M $3.14 55
2014 Q4 9.7M $53.3M -$941K $5.50 56
2014 Q3 9.85M $52.7M -$3.88M $5.35 55
2014 Q2 10.6M $43.2M -$4.72M $4.07 63
2014 Q1 11.3M $81.8M +$16.6M $7.25 66