SPX Technologies, Inc. - COM (SPXC)

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
58.9K
Holdings value Q2 2024
$8.37M
Value change Q2 2024
-$3.35M
Grand Portfolio weight change Q2 2024
0%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
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 58.9K $8.37M -$3.35M $142.14 2
2024 Q1 82.5K $10.2M -$12.1M $123.13 2
2023 Q4 181K $18.3M +$395K $101.01 2
2023 Q3 178K $14.5M +$798K $81.40 3
2023 Q2 168K $14.3M -$4M $84.97 2
2023 Q1 216K $15.3M -$1.27M $70.58 3
2022 Q4 234K $15.4M -$7.88M $65.67 4
2022 Q3 384K $21.2M -$2.21B $55.22 9
2022 Q2 42.2M $2.23B +$29.7M $52.84 204
2022 Q1 42.1M $2.08B +$57.7M $49.41 216
2021 Q4 40.8M $2.44B -$56.8M $59.68 221
2021 Q3 41.5M $2.22B -$19.6M $53.45 210
2021 Q2 41.8M $2.55B +$26.7M $61.08 208
2021 Q1 41.5M $2.42B +$25.2M $58.27 209
2020 Q4 41.1M $2.24B +$6.44M $54.54 211
2020 Q3 41M $1.9B +$26.5M $46.38 211
2020 Q2 40.4M $1.66B +$65M $41.15 213
2020 Q1 38.9M $1.27B -$19.3M $32.64 187
2019 Q4 39.8M $2.02B +$50.4M $50.88 222
2019 Q3 39.4M $1.58B +$64M $40.01 219
2019 Q2 37.9M $1.25B +$9.8M $33.02 205
2019 Q1 38M $1.32B -$16.8M $34.79 213
2018 Q4 38.7M $1.08B +$13.6M $28.01 185
2018 Q3 38M $1.27B +$3.04M $33.31 187
2018 Q2 38.1M $1.33B +$12.6M $35.05 198
2018 Q1 37.8M $1.23B +$13.4M $32.48 193
2017 Q4 37.4M $1.17B +$4.06M $31.39 204
2017 Q3 37.3M $1.1B +$40.3M $29.34 181
2017 Q2 36.3M $913M +$28.9M $25.16 181
2017 Q1 35.4M $858M +$174M $24.25 180
2016 Q4 33.4M $792M -$4.13M $23.72 179
2016 Q3 33.6M $677M -$13.6M $20.14 167
2016 Q2 34.8M $517M +$36.5M $14.85 178
2016 Q1 34.2M $514M -$5.7M $15.02 168
2015 Q4 36M $336M -$22.8M $9.33 176
2015 Q3 37.2M $443M -$229M $11.92 185
2015 Q2 35.7M $2.59B +$148M $72.39 254
2015 Q1 33.5M $2.84B -$45M $84.90 267
2014 Q4 35.4M $3.04B -$139M $85.92 289
2014 Q3 36.9M $3.46B -$105M $93.93 286
2014 Q2 37.9M $4.1B -$128M $108.21 277
2014 Q1 39.2M $3.85B -$79M $98.31 289