SYNCHRONOSS TECHNOLOGIES INC - common (SNCR)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / common
Shares, excl. options Q2 2024
531K
Holdings value Q2 2024
$4.94M
Value change Q2 2024
$0
Grand Portfolio weight change Q2 2024
0%
Number of holders
1
Number of buys Q2 2024
0
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 531K $4.94M $0 $9.30 1
2024 Q1 531K $4.43M +$349K $8.35 1
2023 Q4 489K $3.04M -$57.8M $6.21 1
2023 Q3 39.3M $37.8M +$1.77M $0.96 56
2023 Q2 37.6M $34.9M -$281K $0.93 60
2023 Q1 37.9M $35.6M +$721K $0.94 58
2022 Q4 49.5M $30.6M -$3.89M $0.62 66
2022 Q3 41.7M $47.6M -$1.57M $1.14 73
2022 Q2 42.9M $49.4M -$1.61M $1.15 74
2022 Q1 43.5M $75.3M -$3.04M $1.73 74
2021 Q4 44M $107M -$16.3M $2.44 77
2021 Q3 44.4M $106M -$9.2M $2.40 79
2021 Q2 45.6M $164M +$90.6M $3.59 102
2021 Q1 20.3M $72.6M -$6.45M $3.57 86
2020 Q4 21.7M $102M +$8.72M $4.70 90
2020 Q3 19.9M $60.1M -$2.2M $3.01 76
2020 Q2 20.5M $72.2M +$3.64M $3.53 81
2020 Q1 23.3M $71.1M -$4.83M $3.05 76
2019 Q4 25.3M $120M -$260K $4.75 79
2019 Q3 25M $135M +$20M $5.40 99
2019 Q2 21.2M $167M +$27.3M $7.91 96
2019 Q1 17.9M $109M +$6.72M $6.08 82
2018 Q4 16.9M $104M +$102M $6.14 77
2018 Q3 201K $1.33M -$2.86M $6.60 7
2018 Q2 666K $4.11M -$316M $6.16 24
2018 Q1 30.7M $324M -$72M $10.55 138
2017 Q4 38.9M $348M -$1.14M $8.94 142
2017 Q3 33.2M $310M -$54.4M $9.33 155
2017 Q2 34.9M $574M -$198M $16.45 165
2017 Q1 42.6M $1.04B +$200M $24.40 224
2016 Q4 38.4M $1.47B +$17.5M $38.30 243
2016 Q3 37.6M $1.55B +$16.3M $41.18 229
2016 Q2 37M $1.18B +$27.5M $31.86 217
2016 Q1 36.1M $1.17B -$156M $32.34 193
2015 Q4 41.2M $1.45B +$71.8M $35.23 218
2015 Q3 40.8M $1.34B +$37.9M $32.80 219
2015 Q2 39.3M $1.8B +$12.1M $45.73 224
2015 Q1 38.7M $1.84B +$142M $47.46 212
2014 Q4 36M $1.51B +$53.5M $41.86 207
2014 Q3 34.6M $1.58B +$63.5M $45.78 194
2014 Q2 33.3M $1.16B -$49.5M $34.96 168
2014 Q1 35.2M $1.21B +$15.6M $34.29 171