TRACON PHARMACEUTICALS INC - COM (TCON)

Historical Holders from Q1 2015 to Q1 2020

Type / Class
Equity / COM
Symbol
TCON on OTC
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of TRACON PHARMACEUTICALS INC - COM (TCON) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2020 Q1 0 $0 -$989,000 0
2019 Q4 422,766 $989,000 -$21,853,024 $2.34 2
2019 Q3 16,932,378 $7,568,000 -$100,445 $0.45 20
2019 Q2 17,076,282 $11,612,000 +$76,575 $0.68 24
2019 Q1 16,908,757 $23,164,000 -$245,790 $1.37 23
2018 Q4 17,352,119 $10,931,000 -$584,049 $0.63 26
2018 Q3 16,764,203 $34,369,000 -$188,465 $2.05 36
2018 Q2 16,831,027 $48,098,000 +$9,551,948 $2.70 34
2018 Q1 13,245,022 $29,808,000 +$13,372,772 $2.30 32
2017 Q4 6,717,460 $22,476,000 +$2,127,045 $3.35 32
2017 Q3 5,963,113 $18,730,000 +$2,766,566 $3.15 26
2017 Q2 5,253,805 $12,609,000 -$1,098,214 $2.40 25
2017 Q1 5,632,176 $21,117,000 -$1,652,370 $3.75 22
2016 Q4 6,219,839 $30,321,000 +$12,596,300 $4.90 31
2016 Q3 3,639,484 $24,148,000 -$549,445 $6.67 25
2016 Q2 3,779,495 $16,373,000 -$2,899,825 $4.38 25
2016 Q1 4,405,874 $30,556,000 -$1,007,626 $6.99 22
2015 Q4 4,535,944 $41,911,000 +$169,432 $9.24 23
2015 Q3 4,505,690 $44,019,000 +$3,773,647 $9.77 27
2015 Q2 4,027,629 $45,809,000 -$793,245 $11.33 19
2015 Q1 4,023,269 $56,315,000 +$56,315,000 $14.04 20