Trinity Place Holdings Inc. - COM (TPHS)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
44M
Holdings value Q2 2024
$5.14M
Value change Q2 2024
-$189K
Grand Portfolio weight change Q2 2024
0%
Number of holders
32
Number of buys Q2 2024
1
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 Q3 417K $16.5K -$115K $0.04 2
2024 Q2 44M $5.14M -$189K $0.12 32
2024 Q1 45.5M $6.83M +$3.6M $0.15 33
2023 Q4 21.5M $2.39M -$77.9K $0.11 35
2023 Q3 20.4M $7.45M -$61.1K $0.37 31
2023 Q2 20.6M $11.1M +$362K $0.54 31
2023 Q1 19.9M $9.55M +$20.8K $0.48 30
2022 Q4 19.8M $14.7M -$210K $0.74 29
2022 Q3 20.1M $17.7M -$276K $0.88 26
2022 Q2 20.4M $20.6M -$1.11M $1.01 27
2022 Q1 21.1M $40.1M +$143K $1.90 28
2021 Q4 21M $38.7M +$6.15M $1.84 26
2021 Q3 17.7M $34.7M -$187K $1.96 25
2021 Q2 17.8M $37.5M +$742K $2.11 27
2021 Q1 17.4M $36.4M +$154K $2.09 28
2020 Q4 17.4M $21.7M -$280K $1.25 27
2020 Q3 17.6M $24.8M -$479K $1.41 29
2020 Q2 17.9M $24.7M -$411K $1.38 27
2020 Q1 17.8M $32.3M +$177K $1.82 30
2019 Q4 18M $54.4M -$908K $3.01 32
2019 Q3 18.3M $73.1M -$1.3M $4.00 38
2019 Q2 18.6M $73.5M +$233K $3.95 47
2019 Q1 18.6M $75.5M -$2.53M $4.00 49
2018 Q4 19.1M $83.1M -$560K $4.34 52
2018 Q3 19.2M $117M +$652K $6.09 54
2018 Q2 19.1M $125M +$258K $6.55 52
2018 Q1 19.1M $124M +$1.1M $6.50 48
2017 Q4 18.9M $131M -$567K $6.95 49
2017 Q3 18.9M $133M -$35.2K $7.02 53
2017 Q2 18.9M $134M -$226K $7.11 50
2017 Q1 17.9M $131M +$15.3M $7.31 43
2016 Q4 17.7M $164M +$41.8M $9.27 42
2016 Q3 13M $127M +$4.42M $9.78 38
2016 Q2 12.6M $96.5M +$8.08M $7.69 36
2016 Q1 11.5M $79.4M +$565K $6.90 21
2015 Q4 11.4M $70M +$62.5M $6.13 14
2015 Q3 1.22M $7.61M -$67.8K $6.25 3
2015 Q2 1.22M $9.58M +$137K $7.85 3
2015 Q1 1.2M $8.48M -$44.1K $7.05 3
2014 Q4 1.21M $8.47M -$267K $7.01 3
2014 Q3 1.25M $7.48M $0 $5.99 3
2014 Q2 1.25M $8.11M $0 $6.50 3
2014 Q1 1.25M $7.8M +$1.25M $6.24 3