SemiLEDs Corp - COM NEW (LEDS)

Historical Portfolio Holders from Q2 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q3 2024
458K
Holdings value Q3 2024
$539K
Value change Q3 2024
+$501K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
6
Number of buys Q3 2024
4
Number of sells Q3 2024
-3
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 458K $539K +$501K $1.17 6
2024 Q2 31.8K $40.7K -$7.53K $1.28 4
2024 Q1 49.5K $72.5K +$26.6K $1.46 6
2023 Q4 31.5K $43.7K -$18.7K $1.39 4
2023 Q3 42.1K $73.8K +$18.1K $1.75 6
2023 Q2 31.9K $73K -$118K $2.29 3
2023 Q1 85.6K $186K +$19.5K $2.14 6
2022 Q4 76.8K $123K +$29.9K $1.60 6
2022 Q3 58K $138K -$79.4K $2.34 5
2022 Q2 73.8K $185K +$3.34K $2.51 5
2022 Q1 78.7K $262K -$639K $3.33 7
2021 Q4 209K $966K -$104K $4.63 12
2021 Q3 163K $1.28M +$777K $7.81 8
2021 Q2 58.2K $1.07M -$510K $18.41 8
2021 Q1 306K $1.39M +$365K $4.56 5
2020 Q4 226K $808K -$27.7K $3.59 3
2020 Q3 234K $627K -$49.8K $2.67 4
2020 Q2 217K $775K +$647K $3.60 9
2020 Q1 45.6K $87K +$12K $1.91 3
2019 Q4 39.3K $78K +$41.1K $2.00 3
2019 Q3 15.2K $37K +$23.9K $2.31 2
2019 Q2 5.48K $16K -$157K $2.73 3
2019 Q1 47.2K $175K -$40.8K $3.71 3
2018 Q4 64K $173K +$98.6K $2.70 6
2018 Q3 24.1K $105K -$48.4K $4.36 5
2018 Q2 37.3K $143K +$30.4K $3.84 4
2018 Q1 35.3K $106K +$42K $2.99 5
2017 Q4 21.1K $79K -$76.1K $3.63 2
2017 Q3 57.9K $119K -$27.9K $2.04 4
2017 Q2 72.1K $192K -$56.8K $2.66 4
2017 Q1 93.2K $297K -$61.1K $3.19 4
2016 Q4 112K $392K -$248K $3.50 3
2016 Q3 169K $962K +$422K $5.73 5
2016 Q2 163K $305K +$305K $1.86 4