THL CR INC - COM (TCRD)

Historical Portfolio Holders from Q1 2014 to Q4 2020

All holders as of December 31, 2020
Q4 2020
Type / Class
Equity / COM
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2020 Q4 0 $0 -$331K 0
2020 Q3 133K $331K -$31.7M $2.48 1
2020 Q2 8.88M $28.8M -$8.99M $3.24 43
2020 Q1 12.7M $33.6M -$9.08M $2.65 45
2019 Q4 14.2M $89.8M -$2.95M $6.31 57
2019 Q3 14.6M $99.4M -$2.73M $6.80 51
2019 Q2 15M $99.8M +$1.6M $6.64 55
2019 Q1 14.8M $97.4M -$3.96M $6.56 61
2018 Q4 13M $78.7M -$4.91M $6.08 62
2018 Q3 13.4M $108M +$2.2M $8.07 64
2018 Q2 13.2M $103M -$12.9M $7.82 71
2018 Q1 14.8M $115M -$812K $7.77 78
2017 Q4 14.9M $134M +$1.3M $9.05 80
2017 Q3 14.3M $134M -$5.25M $9.33 80
2017 Q2 14.9M $149M +$886K $9.95 83
2017 Q1 14.8M $148M +$1.67M $9.96 86
2016 Q4 14.9M $149M +$5.51M $10.01 89
2016 Q3 14.1M $135M -$2.21M $9.53 82
2016 Q2 14M $156M +$3.84M $11.13 80
2016 Q1 13.6M $147M -$4.4M $10.83 82
2015 Q4 14M $149M -$8.33M $10.70 73
2015 Q3 13.4M $146M -$8.06M $10.92 73
2015 Q2 14.1M $163M +$183K $11.55 75
2015 Q1 14M $173M -$23.9M $12.29 79
2014 Q4 16M $189M +$2.57M $11.76 84
2014 Q3 15.2M $197M -$19.2M $12.90 77
2014 Q2 16.6M $233M -$10.3M $14.00 99
2014 Q1 16.9M $234M -$9.49M $13.80 111