TAITRON COMPONENTS INC - CL A (TAIT)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A
Shares, excl. options Q2 2024
899K
Holdings value Q2 2024
$2.38M
Value change Q2 2024
-$9.12K
Grand Portfolio weight change Q2 2024
0%
Number of holders
17
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
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 Q3 0 $0 -$32 0
2024 Q2 899K $2.38M -$9.12K $2.65 17
2024 Q1 1.17M $3.77M +$193K $3.22 14
2023 Q4 1.09M $3.82M -$76.2K $3.49 15
2023 Q3 928K $3.28M +$35.8K $3.53 12
2023 Q2 918K $3.81M -$119K $4.15 10
2023 Q1 948K $3.41M +$7.96K $3.60 12
2022 Q4 946K $3.27M +$117K $3.44 12
2022 Q3 910K $3.51M +$371K $3.86 11
2022 Q2 814K $2.97M -$105K $3.65 11
2022 Q1 842K $3.27M -$167K $3.84 12
2021 Q4 885K $3.56M -$67.4K $4.02 11
2021 Q3 903K $3.46M -$306K $3.83 12
2021 Q2 966K $4.79M +$1.18M $4.99 14
2021 Q1 734K $3.01M +$164K $4.09 10
2020 Q4 662K $2.15M +$36.5K $3.24 9
2020 Q3 650K $1.56M +$19.8K $2.40 7
2020 Q2 642K $1.68M -$154K $2.60 6
2020 Q1 689K $1.53M -$49.2K $2.22 8
2019 Q4 726K $2.06M -$343K $2.84 8
2019 Q3 847K $2.4M -$110K $2.83 8
2019 Q2 883K $2.82M +$641K $3.20 10
2019 Q1 693K $1.82M +$107K $2.63 7
2018 Q4 654K $1.13M +$71.7K $1.73 7
2018 Q3 612K $1.22M +$150K $2.01 7
2018 Q2 538K $908K -$38K $1.68 5
2018 Q1 551K $836K -$75.3K $1.52 5
2017 Q4 598K $1.01M -$50.3K $1.67 8
2017 Q3 628K $988K +$158K $1.57 8
2017 Q2 566K $919K +$79.8K $1.61 6
2017 Q1 520K $619K -$93.6K $1.19 5
2016 Q4 600K $719K -$8.48K $1.20 5
2016 Q3 607K $696K -$21.9K $1.16 4
2016 Q2 626K $650K -$35.9K $1.04 5
2016 Q1 663K $612K -$24.5K $0.94 4
2015 Q4 689K $675K -$33.8K $0.98 2
2015 Q3 723K $716K -$79.2K $0.99 2
2015 Q2 803K $784K -$39.8K $0.97 2
2015 Q1 844K $843K -$15.5K $0.99 4
2014 Q4 859K $859K -$39.8K $1.01 4
2014 Q3 903K $934K -$69.6K $1.00 4
2014 Q2 969K $979K -$37.5K $1.01 3
2014 Q1 1.01M $1.06M -$8.27K $1.06 4