PANASONIC HLDGS CO - COM (PCRFY)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
11.3K
Holdings value Q3 2024
$98.2K
Value change Q3 2024
$0
Grand Portfolio weight change Q3 2024
0%
Number of holders
1
Number of buys Q3 2024
0
Number of sells Q3 2024
0
Average buys Q3 2024 %
0
Average sells Q3 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 Q3 11.3K $98.2K $0 $8.69 1
2024 Q2 11.3K $92.5K -$1.61M $8.19 1
2024 Q1 181K $1.71M -$138K $9.48 10
2023 Q4 194K $1.92M -$126M $9.84 14
2023 Q3 11.3M $128M +$5.97M $11.32 18
2023 Q2 10.8M $131M +$5.93M $12.13 17
2023 Q1 10.3M $91.7M +$3.24M $8.90 17
2022 Q4 9.96M $83.8M +$7.71M $8.42 12
2022 Q3 9.04M $63.4M +$5.76M $7.03 11
2022 Q2 8.23M $66.4M +$8.12M $8.07 11
2022 Q1 7.23M $70.8M +$6.33M $9.79 12
2021 Q4 6.58M $72.3M +$2.6M $10.98 12
2021 Q3 6.29M $78.4M -$19.4M $12.45 12
2021 Q2 7.85M $91M -$30.4M $11.58 17
2021 Q1 10.1M $131M +$7.7M $12.95 18
2020 Q4 9.54M $110M +$5.06M $11.53 14
2020 Q3 9.1M $77.1M +$2.61M $8.43 12
2020 Q2 8.79M $76.6M +$1.73M $8.71 11
2020 Q1 8.59M $65.3M +$7.54M $7.64 10
2019 Q4 7.6M $71.9M -$1.9M $9.26 14
2019 Q3 7.9M $64.1M +$6.89M $8.12 15
2019 Q2 7.04M $58.6M +$2M $8.30 16
2019 Q1 6.81M $58.8M -$10M $8.64 18
2018 Q4 7.9M $71.2M +$3.45M $8.99 18
2018 Q3 7.52M $87.3M -$3.15M $11.57 16
2018 Q2 7.75M $105M +$23.1M $13.48 20
2018 Q1 6.06M $86M +$7.75M $14.14 20
2017 Q4 5.5M $80.7M +$53M $14.64 15
2017 Q3 1.87M $27.1M +$2.02M $14.49 16
2017 Q2 1.73M $23.6M +$1.4M $13.57 17
2017 Q1 1.63M $18.5M +$392K $11.29 14
2016 Q4 1.6M $16.3M +$1.39M $10.17 17
2016 Q3 1.46M $14.6M +$1.69M $9.98 15
2016 Q2 1.29M $11.2M -$2.85M $8.59 16
2016 Q1 1.58M $14.4M +$372K $8.99 16
2015 Q4 1.54M $15.8M +$5.66M $10.31 12
2015 Q3 984K $9.89M -$13M $10.05 13
2015 Q2 1.92M $26.3M +$1.9M $13.73 17
2015 Q1 1.8M $23.7M -$44.3K $13.14 18
2014 Q4 1.81M $21.4M +$6.49M $11.86 19
2014 Q3 1.26M $15M +$4.77M $11.93 14
2014 Q2 856K $10.4M -$4.5M $12.19 16
2014 Q1 1.25M $14.3M +$4.78M $11.43 16