TrueCar, Inc. - COM (TRUE)

Historical Portfolio Holders from Q2 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
72.8M
Holdings value Q2 2024
$228M
Value change Q2 2024
-$213K
Grand Portfolio weight change Q2 2024
0%
Number of holders
100
Number of buys Q2 2024
7
Number of sells Q2 2024
-2
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 295K $1.02M +$426K $3.45 14
2024 Q2 72.8M $228M -$213K $3.13 100
2024 Q1 72.7M $246M +$1.31M $3.39 99
2023 Q4 72.3M $250M -$405K $3.46 95
2023 Q3 73M $151M -$1.22M $2.07 103
2023 Q2 73.5M $166M +$279K $2.26 105
2023 Q1 73.4M $169M +$2.3M $2.30 114
2022 Q4 72.3M $181M -$14M $2.51 110
2022 Q3 80.6M $122M -$8.05M $1.51 108
2022 Q2 84M $217M -$6.32M $2.59 105
2022 Q1 86.2M $339M +$2.85M $3.95 112
2021 Q4 85.5M $291M -$5.55M $3.40 106
2021 Q3 86.7M $361M -$18.6M $4.16 111
2021 Q2 90.7M $512M -$16.1M $5.65 112
2021 Q1 93.7M $448M +$14M $4.78 113
2020 Q4 90.9M $382M -$18.6M $4.20 111
2020 Q3 94.9M $474M -$19.7M $5.00 108
2020 Q2 99.3M $256M -$5.95M $2.58 106
2020 Q1 102M $246M -$25.6M $2.42 102
2019 Q4 107M $507M +$22.8M $4.75 119
2019 Q3 103M $351M +$11.9M $3.40 99
2019 Q2 97.5M $532M -$34M $5.46 105
2019 Q1 101M $669M +$179K $6.64 109
2018 Q4 99.8M $904M -$20.6M $9.06 107
2018 Q3 101M $1.42B +$8.69M $14.10 109
2018 Q2 102M $1.02B +$111M $10.09 106
2018 Q1 91.2M $863M +$8.79M $9.46 123
2017 Q4 89.5M $1B -$99.7M $11.20 131
2017 Q3 75M $1.18B +$14.9M $15.79 141
2017 Q2 84.8M $1.69B +$260M $19.93 140
2017 Q1 72.2M $1.12B +$277M $15.47 123
2016 Q4 57.9M $724M +$43.5M $12.50 103
2016 Q3 53.8M $508M +$40.4M $9.44 81
2016 Q2 49.6M $390M +$25.2M $7.85 73
2016 Q1 46.5M $260M -$16.3M $5.59 76
2015 Q4 47.9M $457M +$13.2M $9.54 75
2015 Q3 47.7M $248M -$6.77M $5.21 78
2015 Q2 42.7M $512M +$2.03M $11.99 105
2015 Q1 38.9M $674M +$64.1M $17.85 105
2014 Q4 34.5M $790M +$221M $22.90 91
2014 Q3 25M $526M +$53.1M $17.95 74
2014 Q2 22.3M $329M +$329M $14.78 54