TUESDAY MORNING CORP - COM NEW (TUESQ) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2022

Type / Class
Equity / COM NEW
Symbol
TUESQ
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of TUESDAY MORNING CORP - COM NEW (TUESQ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q2 0 $0 -$13,000 0
2022 Q1 11,764 $13,000 $1.11 1
2021 Q4 11,764 $27,000 $2.30 1
2021 Q3 11,764 $33,000 +$33,000 $2.81 1
2021 Q1 0 $0 -$3,153,000 0
2020 Q4 1,732,384 $3,153,000 -$2,187,490 $1.82 1
2020 Q3 3,257,181 $4,463,000 -$729,609 $1.37 2
2020 Q2 3,888,919 $623,000 -$11,333,758 $0.16 5
2020 Q1 24,005,160 $13,827,000 -$3,302,912 $0.58 42
2019 Q4 26,324,489 $48,699,002 -$2,690,995 $1.85 49
2019 Q3 27,332,322 $42,911,000 -$432,036 $1.57 59
2019 Q2 27,531,513 $46,521,000 -$4,693,358 $1.69 55
2019 Q1 29,864,147 $63,311,308 -$2,763,330 $2.12 63
2018 Q4 32,172,846 $54,694,049 -$5,657,417 $1.70 59
2018 Q3 34,496,972 $110,392,974 +$1,579,731 $3.20 64
2018 Q2 33,944,594 $103,523,882 -$2,619,383 $3.05 63
2018 Q1 34,090,993 $134,655,294 +$6,183,861 $3.95 71
2017 Q4 32,707,881 $89,980,471 -$1,888,149 $2.75 70
2017 Q3 32,836,548 $105,067,334 -$6,757,029 $3.20 63
2017 Q2 36,148,682 $68,671,073 -$15,614,338 $1.90 73
2017 Q1 41,563,106 $155,799,076 +$18,481,853 $3.75 102
2016 Q4 40,944,154 $221,100,312 +$1,094,911 $5.40 104
2016 Q3 40,519,432 $242,250,218 -$5,352,429 $5.98 108
2016 Q2 41,295,437 $289,918,712 +$3,457,670 $7.02 115
2016 Q1 40,792,713 $333,644,667 -$25,190,653 $8.18 118
2015 Q4 45,272,258 $294,209,111 -$22,618,474 $6.50 123
2015 Q3 46,916,877 $253,820,811 -$80,070,620 $5.41 113
2015 Q2 52,056,283 $586,451,330 -$33,283,262 $11.26 140
2015 Q1 54,237,736 $873,235,530 -$50,906,907 $16.10 138
2014 Q4 55,628,504 $1,207,172,024 -$18,280,126 $21.70 150
2014 Q3 56,105,151 $1,088,761,989 +$152,089,746 $19.41 150
2014 Q2 48,328,107 $861,136,655 +$75,888,359 $17.82 149
2014 Q1 44,109,784 $624,098,609 +$27,142,341 $14.15 127