TSR INC - COM (TSRI)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
255K
Holdings value Q2 2024
$3.41M
Value change Q2 2024
+$697K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
12
Number of buys Q2 2024
6
Number of sells Q2 2024
-4
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 255K $3.41M +$697K $13.38 12
2024 Q1 207K $1.63M -$78 $7.90 9
2023 Q4 207K $1.87M -$9.42K $9.05 10
2023 Q3 208K $1.73M -$110K $8.31 9
2023 Q2 223K $1.48M -$10.7K $6.62 9
2023 Q1 224K $1.8M -$21.6K $8.03 9
2022 Q4 227K $1.56M -$34.5K $6.94 11
2022 Q3 232K $1.67M -$112K $7.21 7
2022 Q2 247K $1.84M -$74.6K $7.45 7
2022 Q1 257K $2.4M +$906K $9.37 8
2021 Q4 160K $1.45M -$47.3K $9.11 6
2021 Q3 166K $1.6M -$234K $9.64 8
2021 Q2 190K $1.82M -$22.9K $9.60 8
2021 Q1 192K $1.67M +$137K $8.69 8
2020 Q4 177K $1.23M +$740 $6.99 7
2020 Q3 177K $901K +$43.2K $5.19 5
2020 Q2 168K $802K -$87.1K $4.75 5
2020 Q1 194K $611K +$55.9K $3.12 6
2019 Q4 177K $633K +$4.05K $3.57 6
2019 Q3 175K $565K -$27.7K $3.19 5
2019 Q2 181K $841K -$28.3K $4.59 6
2019 Q1 187K $994K -$6.42K $5.27 7
2018 Q4 188K $874K -$137K $4.65 8
2018 Q3 210K $1.5M +$45.7K $7.15 10
2018 Q2 204K $1.38M -$5.97K $6.71 8
2018 Q1 204K $1.28M +$12.8K $6.26 7
2017 Q4 205K $1.08M +$112K $5.25 8
2017 Q3 185K $794K +$11.4K $4.25 6
2017 Q2 193K $975K +$83.9K $5.05 9
2017 Q1 176K $984K -$260K $5.61 5
2016 Q4 222K $1.27M +$25.2K $5.74 8
2016 Q3 214K $1.61M +$313K $7.50 10
2016 Q2 181K $678K -$42.7K $3.74 6
2016 Q1 193K $716K -$28.5K $3.70 5
2015 Q4 201K $927K +$61.2K $4.69 5
2015 Q3 187K $812K -$18 $4.34 6
2015 Q2 187K $657K -$27.7K $3.52 5
2015 Q1 194K $967K +$19.7K $4.94 5
2014 Q4 191K $658K -$18.3K $3.44 5
2014 Q3 195K $623K -$1.2K $3.19 5
2014 Q2 198K $589K +$5.21K $2.98 8
2014 Q1 196K $658K +$32.5K $3.36 5