TACTILE SYSTEMS TECHNOLOGY INC - COM (TCMD)

Historical Portfolio Holders from Q3 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
21.9M
Holdings value Q3 2024
$319M
Value change Q3 2024
-$3.34M
Grand Portfolio weight change Q3 2024
0%
Number of holders
125
Number of buys Q3 2024
66
Number of sells Q3 2024
-61
Average buys Q3 2024 %
+0%
Average sells Q3 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 21.9M $319M -$3.34M $14.61 125
2024 Q2 22.4M $268M +$15.9M $11.94 129
2024 Q1 20.9M $340M +$20.7M $16.25 135
2023 Q4 19.8M $283M -$7.64M $14.30 132
2023 Q3 20.4M $286M -$1.9M $14.05 155
2023 Q2 19.7M $491M +$18.3M $24.93 151
2023 Q1 19.1M $314M +$38.3M $16.42 128
2022 Q4 17M $195M +$1.46M $11.48 119
2022 Q3 16.9M $132M -$933K $7.79 108
2022 Q2 17.1M $125M -$68.9M $7.30 117
2022 Q1 18.4M $372M +$335K $20.16 122
2021 Q4 18.5M $352M -$84.5M $19.03 124
2021 Q3 19.1M $849M -$549K $44.45 135
2021 Q2 19M $990M +$51.3M $52.00 145
2021 Q1 19.2M $1.05B -$12.3M $54.49 148
2020 Q4 19.5M $876M +$3.84M $44.94 156
2020 Q3 19.5M $713M -$38.2M $36.59 139
2020 Q2 20.4M $846M +$71.2M $41.43 152
2020 Q1 18.7M $751M -$67.6M $40.16 149
2019 Q4 18.7M $1.26B +$4.72M $67.51 168
2019 Q3 18.8M $794M +$655K $42.32 154
2019 Q2 19M $1.08B +$22.7M $56.92 169
2019 Q1 18.7M $988M +$27.5M $52.72 188
2018 Q4 18.2M $831M +$16.6M $45.55 164
2018 Q3 17.7M $1.26B +$9.48M $71.05 171
2018 Q2 17.6M $913M +$62.3M $52.00 146
2018 Q1 16.7M $530M +$20.4M $31.80 119
2017 Q4 16.1M $468M +$96.4M $28.98 121
2017 Q3 12.7M $393M +$144M $30.95 106
2017 Q2 8.05M $230M +$104M $28.58 84
2017 Q1 4.51M $85.7M +$23.5M $18.95 58
2016 Q4 3.54M $58.2M -$929K $16.41 46
2016 Q3 3.6M $67.4M +$67.4M $18.70 40