SIGMATRON INTERNATIONAL INC - COM (SGMA)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
938K
Holdings value Q2 2024
$5.24M
Value change Q2 2024
+$325K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
27
Number of buys Q2 2024
2
Number of sells Q2 2024
-3
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 Q3 231K $658K -$164K $2.85 7
2024 Q2 938K $5.24M +$325K $5.59 27
2024 Q1 887K $3.22M +$104K $3.63 21
2023 Q4 861K $2.59M -$28K $3.00 22
2023 Q3 772K $2.42M -$212K $3.13 19
2023 Q2 846K $2.74M -$222K $3.24 23
2023 Q1 918K $2.42M -$294K $2.63 24
2022 Q4 1.01M $3.87M -$182K $3.84 28
2022 Q3 1.06M $5.01M +$1.16M $4.75 23
2022 Q2 810K $5.72M +$295K $7.06 18
2022 Q1 768K $5.25M -$2.59M $6.83 18
2021 Q4 1.02M $10.5M +$623K $10.33 22
2021 Q3 968K $8.59M +$897K $8.88 24
2021 Q2 965K $4.87M +$28.6K $5.04 19
2021 Q1 959K $5.15M +$178K $5.37 16
2020 Q4 923K $4.31M +$173K $4.68 15
2020 Q3 887K $2.77M +$9.36K $3.13 15
2020 Q2 883K $2.97M +$209K $3.35 13
2020 Q1 822K $2.39M -$91.7K $2.95 13
2019 Q4 884K $3.52M +$11.7K $4.03 15
2019 Q3 886K $3.6M -$4.91K $4.07 18
2019 Q2 900K $2.32M -$326K $2.60 18
2019 Q1 1.03M $2.99M -$221K $2.91 16
2018 Q4 1.11M $2.61M -$342K $2.35 21
2018 Q3 1.23M $7.1M -$123K $5.75 24
2018 Q2 1.26M $8.82M -$544K $7.02 19
2018 Q1 1.33M $7.74M +$81.1K $5.80 18
2017 Q4 1.32M $13.3M +$600K $10.12 18
2017 Q3 1.26M $10.5M +$79.8K $8.37 16
2017 Q2 1.26M $8.22M -$9K $6.46 19
2017 Q1 1.26M $6.32M +$1.07M $5.00 15
2016 Q4 1.24M $5.87M -$179K $4.73 19
2016 Q3 1.28M $6.95M +$178K $5.44 23
2016 Q2 1.25M $7.57M +$114K $6.08 21
2016 Q1 1.23M $7.62M +$184K $6.21 23
2015 Q4 1.2M $9.01M +$119K $7.53 20
2015 Q3 1.18M $8.23M -$171K $6.89 18
2015 Q2 1.19M $10.9M -$118K $9.09 16
2015 Q1 1.21M $8.68M -$141K $7.20 18
2014 Q4 1.23M $8.22M +$13.9K $6.68 19
2014 Q3 1.23M $8.92M -$634K $7.27 20
2014 Q2 1.3M $15.7M +$22K $12.06 24
2014 Q1 1.3M $15.6M +$1.04M $12.00 20