PACIFIC MERCANTILE BANCORP - COM (PMBC) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2021

Type / Class
Equity / COM
Symbol
PMBC
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of PACIFIC MERCANTILE BANCORP - COM (PMBC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q4 0 $0 -$164,751,000 0
2021 Q3 17,888,638 $164,751,764 +$24,145,114 $9.21 45
2021 Q2 15,273,160 $131,349,918 +$3,340,748 $8.60 48
2021 Q1 14,807,593 $131,794,985 +$7,316,111 $8.90 49
2020 Q4 14,028,424 $72,109,151 +$1,218,874 $5.14 38
2020 Q3 13,809,972 $51,367,833 -$544,432 $3.72 42
2020 Q2 16,160,652 $59,143,991 -$1,707,627 $3.66 50
2020 Q1 16,454,918 $77,496,599 +$2,614,853 $4.71 54
2019 Q4 15,999,401 $129,818,375 +$3,174,982 $8.12 55
2019 Q3 15,637,879 $117,443,615 +$2,434,150 $7.51 58
2019 Q2 15,295,742 $126,198,324 +$3,908,941 $8.25 59
2019 Q1 14,883,222 $112,929,100 +$1,030,317 $7.62 60
2018 Q4 14,778,551 $105,325,625 -$3,307,891 $7.15 59
2018 Q3 14,879,307 $138,538,694 +$39,356,472 $9.35 60
2018 Q2 10,623,655 $103,582,187 +$2,432,357 $9.75 56
2018 Q1 10,376,250 $99,023,376 +$260,407 $9.55 52
2017 Q4 10,349,255 $90,554,621 -$8,745,367 $8.75 55
2017 Q3 11,346,647 $103,823,928 -$627,845 $9.15 49
2017 Q2 11,410,435 $100,408,145 -$855,079 $8.80 48
2017 Q1 11,558,875 $87,270,087 +$7,756,144 $7.55 50
2016 Q4 11,403,410 $83,241,132 +$2,246,080 $7.30 53
2016 Q3 11,112,480 $81,897,756 +$5,532,744 $7.37 46
2016 Q2 10,370,066 $73,622,911 +$7,236,724 $7.10 45
2016 Q1 9,342,163 $65,403,000 +$2,426,484 $7.00 40
2015 Q4 8,995,163 $64,119,000 -$643,583 $7.13 33
2015 Q3 9,113,042 $61,331,000 +$12,021,716 $6.73 37
2015 Q2 7,195,245 $54,611,000 +$884,145 $7.59 32
2015 Q1 7,078,816 $51,008,400 +$1,900,349 $7.20 33
2014 Q4 6,816,470 $47,983,280 +$2,778,615 $7.04 33
2014 Q3 6,419,433 $44,732,228 +$3,343,571 $6.97 29
2014 Q2 6,704,160 $44,649,635 +$4,003,664 $6.66 32
2014 Q1 6,112,763 $37,962,658 +$3,315,881 $6.21 32