PFENEX INC - COM (PFNX) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2014 to Q3 2022

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

Institutional Holders of PFENEX INC - COM (PFNX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q3 0 $0 -$3,451,000 0
2022 Q2 65,826 $3,451,000 +$125,823 $52.43 1
2022 Q1 63,426 $3,284,000 +$54,883 $51.78 1
2021 Q4 62,366 $3,683,000 -$118,109 $59.05 1
2021 Q3 64,366 $2,782,000 +$19,234 $43.22 1
2021 Q2 63,921 $2,503,000 +$22,437 $39.16 1
2021 Q1 63,348 $2,295,000 +$182,736 $36.23 1
2020 Q4 58,304 $2,146,000 -$306,010,545 $36.81 1
2020 Q3 24,093,130 $308,376,395 +$31,449,472 $12.75 55
2020 Q2 26,584,738 $221,085,020 -$11,832,302 $8.35 83
2020 Q1 27,899,915 $245,387,443 +$23,309,543 $8.82 95
2019 Q4 25,289,008 $275,677,939 +$4,637,809 $10.98 96
2019 Q3 24,999,235 $211,024,634 +$5,559,330 $8.44 85
2019 Q2 24,423,331 $164,473,161 +$1,286,646 $6.74 74
2019 Q1 24,364,722 $150,572,135 +$3,339,179 $6.18 72
2018 Q4 23,865,045 $76,132,864 -$2,897,229 $3.19 65
2018 Q3 24,645,168 $125,927,567 +$4,116,559 $5.11 73
2018 Q2 23,763,814 $128,540,704 +$43,831,382 $5.41 77
2018 Q1 15,631,744 $93,777,030 +$2,920,283 $6.00 45
2017 Q4 15,653,652 $41,639,013 -$2,198,596 $2.66 43
2017 Q3 16,521,762 $49,890,728 -$3,107,644 $3.02 52
2017 Q2 16,931,702 $67,885,404 -$4,582,562 $4.01 68
2017 Q1 17,570,739 $102,139,788 +$5,887,013 $5.81 75
2016 Q4 18,048,727 $163,701,410 +$905,218 $9.07 79
2016 Q3 17,997,994 $161,032,661 +$816,003 $8.95 69
2016 Q2 17,936,551 $150,157,418 -$4,009,620 $8.37 67
2016 Q1 18,318,773 $180,016,000 -$996,803 $9.83 66
2015 Q4 18,317,317 $226,767,932 -$7,933,620 $12.38 76
2015 Q3 18,805,238 $282,267,589 +$6,422,541 $15.01 77
2015 Q2 18,316,872 $355,345,828 +$99,637,500 $19.40 63
2015 Q1 13,206,436 $210,508,000 +$102,782,735 $15.94 43
2014 Q4 8,058,413 $58,284,000 -$668,086 $7.29 21
2014 Q3 7,587,709 $55,843,000 +$55,843,000 $7.36 19