RETRACTABLE TECHNOLOGIES INC - COM (RVP)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
2.23M
Holdings value Q2 2024
$2.41M
Value change Q2 2024
-$76.3K
Grand Portfolio weight change Q2 2024
0%
Number of holders
33
Number of buys Q2 2024
6
Number of sells Q2 2024
-17
Average buys Q2 2024 %
+0%
Average sells Q2 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 Q2 2.23M $2.41M -$76.3K $1.08 33
2024 Q1 2.3M $2.76M +$39.8K $1.20 32
2023 Q4 2.27M $2.52M -$570K $1.11 36
2023 Q3 2.75M $3.27M -$505K $1.19 35
2023 Q2 3.18M $3.65M -$239K $1.15 40
2023 Q1 3.37M $5.9M -$22.2K $1.75 37
2022 Q4 3.39M $5.56M -$720K $1.64 40
2022 Q3 3.05M $6.05M -$1.4M $1.98 38
2022 Q2 3.5M $13.4M -$4.78M $3.83 49
2022 Q1 4.7M $22.3M -$1.93M $4.75 59
2021 Q4 5.01M $34.7M -$3.26M $6.93 64
2021 Q3 5.25M $58M -$2.91M $11.03 72
2021 Q2 5.52M $63.8M +$3.6M $11.56 70
2021 Q1 5.17M $66.2M -$9.61M $12.82 68
2020 Q4 6.36M $68.3M +$5.93M $10.74 67
2020 Q3 5.8M $38.6M +$3.67M $6.66 58
2020 Q2 5.23M $36.7M +$19.4M $7.02 50
2020 Q1 2.55M $3.99M +$1.48M $1.56 19
2019 Q4 1.62M $2.43M +$164K $1.50 14
2019 Q3 1.52M $1.73M +$243K $1.15 13
2019 Q2 1.32M $957K -$257K $0.73 14
2019 Q1 1.69M $1.08M +$54.9K $0.64 18
2018 Q4 1.61M $958K -$144K $0.59 15
2018 Q3 1.85M $1.34M +$46.3K $0.72 18
2018 Q2 1.79M $1.32M -$121K $0.73 18
2018 Q1 1.94M $1.99M +$447K $1.03 17
2017 Q4 1.5M $1.02M +$117K $0.68 17
2017 Q3 1.34M $891K -$9.67K $0.67 15
2017 Q2 1.34M $1.71M -$125K $1.27 17
2017 Q1 1.47M $1.63M +$83.9K $1.11 16
2016 Q4 1.47M $1.37M -$536K $0.93 19
2016 Q3 1.5M $3.87M -$12.2K $2.56 20
2016 Q2 1.51M $3.79M -$354K $2.52 20
2016 Q1 1.68M $3.62M -$99.8K $2.15 22
2015 Q4 1.73M $5.34M +$350K $3.10 22
2015 Q3 1.61M $5.81M -$296K $3.62 19
2015 Q2 1.69M $6.4M +$296K $3.80 21
2015 Q1 1.61M $6.23M -$294K $3.88 19
2014 Q4 1.57M $7.87M +$766K $5.00 22
2014 Q3 1.54M $4.46M +$29.5K $2.90 19
2014 Q2 1.53M $3.83M +$450K $2.50 18
2014 Q1 1.33M $5.05M +$1.74M $3.79 18