PGT INNOVATIONS INC - COM (PGTI)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
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
2024 Q2 0 $0 -$843K 0
2024 Q1 20.9K $843K -$1.9B $41.99 3
2023 Q4 46.8M $1.9B -$22.3M $40.70 235
2023 Q3 47.8M $1.33B -$15.5M $27.75 204
2023 Q2 48.3M $1.41B -$49.6M $29.15 214
2023 Q1 50M $1.26B +$12.1M $25.11 182
2022 Q4 50M $898M -$27.3M $17.96 181
2022 Q3 51.4M $1.08B -$32.8M $20.96 174
2022 Q2 53.1M $883M +$17.6M $16.64 151
2022 Q1 52.2M $939M -$5.34M $17.98 156
2021 Q4 52.4M $1.18B +$8.49M $22.49 145
2021 Q3 51.9M $991M +$798K $19.10 139
2021 Q2 51.5M $1.2B -$15.1M $23.23 158
2021 Q1 52M $1.31B -$6.12M $25.25 153
2020 Q4 52.3M $1.06B +$3.43M $20.34 154
2020 Q3 52.2M $915M -$1.7M $17.52 148
2020 Q2 52.4M $821M +$13.6M $15.68 140
2020 Q1 52.5M $441M -$8.09M $8.39 148
2019 Q4 53M $790M -$17.7M $14.91 148
2019 Q3 54.1M $934M +$14.2M $17.27 162
2019 Q2 53.3M $891M +$34.7M $16.72 171
2019 Q1 51.7M $716M -$34.1M $13.85 196
2018 Q4 53.6M $850M -$6.55M $15.85 221
2018 Q3 51.5M $1.11B +$124M $21.60 222
2018 Q2 45.8M $955M +$4.41M $20.85 187
2018 Q1 45.6M $851M -$5.95M $18.65 173
2017 Q4 46.3M $781M +$6.54M $16.85 158
2017 Q3 45.8M $685M -$2.57M $14.95 144
2017 Q2 46M $589M +$7.05M $12.80 129
2017 Q1 45.9M $494M +$65.2M $10.75 127
2016 Q4 46.5M $533M -$4.98M $11.45 148
2016 Q3 46.6M $497M -$9.42M $10.67 142
2016 Q2 46.4M $478M +$6.97M $10.30 140
2016 Q1 46M $453M -$10.5M $9.84 127
2015 Q4 47.2M $538M +$8.36M $11.39 133
2015 Q3 46.3M $569M +$25.7M $12.28 141
2015 Q2 44M $638M +$33.9M $14.51 151
2015 Q1 40.8M $456M -$4.14M $11.17 132
2014 Q4 41.8M $403M -$6.54M $9.63 127
2014 Q3 41.8M $391M +$11.6M $9.32 142
2014 Q2 40.9M $347M -$16.7M $8.47 141
2014 Q1 40.6M $464M +$70.2M $11.51 137