RIVERVIEW BANCORP INC - COM (RVSB)

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
13.5M
Holdings value Q2 2024
$54M
Value change Q2 2024
-$555K
Grand Portfolio weight change Q2 2024
0%
Number of holders
46
Number of buys Q2 2024
13
Number of sells Q2 2024
-23
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 13.5M $54M -$555K $3.99 46
2024 Q1 13.7M $64.5M -$145K $4.72 44
2023 Q4 13.6M $87.2M +$1.1M $6.40 52
2023 Q3 13.5M $74.8M +$1.41M $5.56 50
2023 Q2 13.3M $67.2M +$422K $5.04 53
2023 Q1 13.2M $70.4M -$3.69M $5.34 54
2022 Q4 13.7M $105M +$769K $7.68 56
2022 Q3 13.6M $86.1M -$1.75M $6.35 55
2022 Q2 13.8M $91M -$1.54M $6.58 55
2022 Q1 14.1M $107M +$1.29M $7.55 59
2021 Q4 14M $107M +$1.15M $7.69 62
2021 Q3 13.8M $100M -$1.71M $7.27 66
2021 Q2 14.1M $99.7M -$2.91M $7.09 78
2021 Q1 14.5M $100M -$118K $6.93 78
2020 Q4 14.5M $76.6M +$1.09M $5.26 79
2020 Q3 14.3M $59.5M -$1.25M $4.15 76
2020 Q2 14.5M $81.9M -$333K $5.65 81
2020 Q1 14.6M $72.9M -$1.85M $5.01 77
2019 Q4 14.7M $120M +$1.23M $8.21 87
2019 Q3 14.5M $107M +$1.46M $7.38 91
2019 Q2 14.4M $123M +$4.16M $8.54 88
2019 Q1 14M $102M -$256K $7.31 87
2018 Q4 14M $102M +$1.69M $7.28 88
2018 Q3 13.7M $121M +$2.35M $8.84 83
2018 Q2 13.5M $114M +$266K $8.44 84
2018 Q1 13.4M $124M -$579K $9.34 85
2017 Q4 13.5M $117M +$2.43M $8.67 91
2017 Q3 13.2M $111M +$6.36M $8.40 97
2017 Q2 12.6M $83.7M +$3.81M $6.64 87
2017 Q1 11.8M $84.5M +$2.56M $7.15 65
2016 Q4 11.7M $82M +$1.93M $7.00 56
2016 Q3 11.6M $62.3M +$78.4K $5.38 56
2016 Q2 11.6M $54.7M -$259K $4.73 48
2016 Q1 11.6M $48.8M -$719K $4.20 49
2015 Q4 13.4M $62.7M +$334K $4.69 48
2015 Q3 11.8M $56M +$409K $4.75 52
2015 Q2 11.7M $50M +$7.6M $4.28 41
2015 Q1 9.9M $44.8M -$7.81M $4.50 41
2014 Q4 11.6M $52.1M +$3.15M $4.48 42
2014 Q3 11.4M $45.6M +$2.45M $3.99 39
2014 Q2 10.9M $42.2M +$598K $3.88 38
2014 Q1 10.8M $36.8M +$695K $3.43 33