Secure Energy Services, Inc. - COM (SECYF)

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
1.25M
Holdings value Q2 2024
$11.1M
Value change Q2 2024
+$5.35M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
2
Number of buys Q2 2024
2
Number of sells Q2 2024
0
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 1.25M $11.1M +$5.35M $8.85 2
2024 Q1 645K $5.31M -$154M $8.23 1
2023 Q4 21.9M $158M +$153M $7.17 2
2023 Q3 686K $3.77M +$150K $5.50 1
2023 Q2 659K $3.16M -$52.1M $4.79 1
2023 Q1 11.8M $55.2M -$1.11M $4.67 2
2022 Q4 909K $4.72M +$13.8K $5.19 1
2022 Q3 906K $3.78M -$1.98M $4.17 1
2022 Q2 1.33M $6.21M +$259K $4.66 2
2022 Q1 1.28M $5.45M +$1.79M $4.27 2
2021 Q4 858K $3.57M +$3.01M $4.16 1
2021 Q3 134K $503K -$19.1K $3.76 1
2021 Q2 139K $472K -$6.44K $3.40 1
2021 Q1 141K $405K -$4.76K $2.87 1
2020 Q4 143K $276K -$396K $1.94 1
2020 Q3 347K $357K -$3.57K $1.03 1
2020 Q2 350K $431K -$2.31K $1.23 1
2020 Q1 352K $233K -$16.5K $0.66 1
2019 Q4 377K $1.47M -$116K $3.90 1
2019 Q3 407K $1.72M -$303K $4.23 1
2019 Q2 467K $2.55M +$162K $5.45 2
2019 Q1 437K $2.68M -$10.2K $6.13 1
2018 Q4 439K $2.26M -$37.2K $5.14 1
2018 Q3 446K $2.93M -$103K $6.56 1
2018 Q2 462K $2.56M -$46.3K $5.53 1
2018 Q1 471K $2.68M +$119K $5.69 1
2017 Q4 449K $3.13M -$50K $6.98 2
2017 Q3 457K $3.17M -$2.88M $6.94 1
2017 Q2 878K $6M -$202K $6.83 2
2017 Q1 908K $6.63M +$3.37M $7.30 2
2016 Q4 446K $3.9M -$838K $8.73 1
2016 Q3 564K $3.98M +$1.23M $7.08 2
2016 Q2 389K $2.65M +$869K $6.80 1
2016 Q1 262K $1.67M -$34.7K $6.38 1
2015 Q4 267K $1.61M -$189K $6.02 1
2015 Q3 298K $2M -$3.29M $6.70 1
2015 Q2 623K $6.37M -$27.5K $10.23 2
2015 Q1 625K $7.98M -$200K $12.76 2
2014 Q4 325K $4.77M +$138K $14.68 2
2014 Q3 316K $6.83M -$57.6K $21.66 2
2014 Q2 319K $7.02M -$566K $21.97 2
2014 Q1 344K $5.93M -$4.57M $17.16 2