R1 RCM Inc. /DE - COM (RCM)

Historical Portfolio Holders from Q4 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
545K
Holdings value Q3 2024
$7.72M
Value change Q3 2024
-$3.9M
Grand Portfolio weight change Q3 2024
0%
Number of holders
1
Number of buys Q3 2024
0
Number of sells Q3 2024
-1
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 545K $7.72M -$3.9M $14.17 1
2024 Q2 902K $11.3M +$93.1K $12.56 2
2024 Q1 894K $11.5M +$1.18M $12.88 2
2023 Q4 803K $8.48M +$1.24M $10.57 2
2023 Q3 685K $10.3M +$166K $15.07 2
2023 Q2 674K $12.4M +$3.93M $18.45 2
2023 Q1 461K $6.92M +$1.02M $15.00 2
2022 Q4 393K $4.31M -$5.35M $10.95 2
2022 Q3 625K $11.8M -$15M $18.53 5
2022 Q2 1.13M $23.7M -$3.14B $20.96 8
2022 Q1 119M $3.18B +$63.3M $26.76 239
2021 Q4 116M $2.96B +$11.9M $25.49 211
2021 Q3 116M $2.55B -$12.4M $22.01 199
2021 Q2 116M $2.59B +$447M $22.24 226
2021 Q1 96.3M $2.38B +$72M $24.68 210
2020 Q4 93M $2.23B -$34.9M $24.02 211
2020 Q3 95.6M $1.64B +$178M $17.15 190
2020 Q2 86M $959M +$27.2M $11.15 168
2020 Q1 81.6M $742M -$9.22M $9.09 169
2019 Q4 84.3M $1.09B +$63.2M $12.98 176
2019 Q3 79.7M $712M -$6.59M $8.93 158
2019 Q2 79.5M $999M +$51.1M $12.58 149
2019 Q1 77.1M $745M +$47.7M $9.67 127
2018 Q4 72.5M $577M +$37.4M $7.95 124
2018 Q3 63.9M $650M +$90.3M $10.16 116
2018 Q2 55.2M $479M +$28.4M $8.68 110
2018 Q1 52M $371M +$8.03M $7.14 83
2017 Q4 51.3M $226M -$429K $4.41 83
2017 Q3 49.4M $183M -$1.76M $3.71 75
2017 Q2 49.7M $186M +$19.2M $3.75 67
2017 Q1 44.7M $138M +$107M $3.09 46
2016 Q4 10.1M $22.6M +$12.6M $2.25 2