SMTC CORP - COM NEW (SMTX) Institutional Ownership

CUSIP: 832682207

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2021

Type / Class
Equity / COM NEW
Symbol
SMTX
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 832682207?
CUSIP 832682207 identifies SMTX - SMTC CORP - COM NEW in SEC 13F datasets.

Where can I see the latest institutional holders?
Use the ownership history tables below to review the newest available institutional filing periods.

Institutional Holders of SMTC CORP - COM NEW (SMTX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q2 0 $0 -$45,526,568 0
2021 Q1 7,576,568 $45,526,568 +$13,685,389 $6.01 48
2020 Q4 5,514,666 $27,305,491 +$2,011,082 $4.96 43
2020 Q3 5,156,434 $18,670,448 +$908,222 $3.62 32
2020 Q2 4,957,707 $15,019,212 +$2,305,749 $3.03 26
2020 Q1 4,195,050 $9,775,932 +$1,926,503 $2.33 22
2019 Q4 3,334,475 $11,304,356 -$34,572 $3.39 23
2019 Q3 3,356,302 $7,246,864 -$1,077,891 $2.16 20
2019 Q2 3,679,641 $14,199,942 +$146,036 $3.86 21
2019 Q1 3,631,837 $13,726,512 +$748,577 $3.78 26
2018 Q4 3,404,628 $13,888,632 +$127,021 $4.08 16
2018 Q3 3,376,686 $9,759,156 +$1,798,300 $2.89 16
2018 Q2 2,753,730 $8,095,176 +$756,098 $2.94 19
2018 Q1 2,501,260 $5,676,908 -$831,858 $2.27 16
2017 Q4 2,920,816 $5,571,756 +$103,711 $1.90 18
2017 Q3 2,023,423 $2,629,780 -$61,910 $1.30 13
2017 Q2 2,121,649 $2,816,774 -$53,441 $1.30 15
2017 Q1 2,163,249 $2,844,768 +$11,066 $1.28 15
2016 Q4 2,100,669 $3,212,000 -$53,214 $1.53 14
2016 Q3 2,137,011 $2,949,000 -$16,843 $1.38 13
2016 Q2 2,148,021 $3,243,000 -$35,325 $1.51 12
2016 Q1 2,171,027 $3,256,000 -$44,498 $1.50 10
2015 Q4 2,200,344 $3,410,000 -$2,970 $1.55 15
2015 Q3 2,989,061 $4,633,000 +$27,453 $1.55 11
2015 Q2 2,971,616 $4,932,000 +$395,255 $1.66 13
2015 Q1 2,736,237 $4,055,000 -$11,924 $1.48 12
2014 Q4 2,737,749 $4,846,000 +$521,383 $1.77 13
2014 Q3 2,443,027 $4,348,000 +$198,916 $1.85 13
2014 Q2 2,336,047 $4,239,988 +$184,607 $1.82 13
2014 Q1 2,227,208 $4,430,845 +$533,187 $1.99 15