USA TECHNOLOGIES INC - COM NO PAR (USAT) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2021

Type / Class
Equity / COM NO PAR
Symbol
USAT
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of USA TECHNOLOGIES INC - COM NO PAR (USAT) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q3 0 $0 -$24,985,000 0
2021 Q2 2,106,658 $24,985,000 -$530,233,074 $11.86 2
2021 Q1 47,623,802 $555,306,664 +$102,667,609 $11.72 101
2020 Q4 38,806,738 $406,674,100 +$199,778,415 $10.48 94
2020 Q3 15,426,145 $134,979,000 -$629,310 $8.75 13
2020 Q2 15,497,889 $108,639,000 +$4,403,387 $7.01 11
2020 Q1 14,869,876 $68,400,000 +$160,132 $4.60 11
2019 Q4 14,927,862 $110,465,481 -$12,001,098 $7.40 13
2019 Q3 16,569,229 $121,451,476 -$187,300,993 $7.33 19
2019 Q2 42,222,023 $313,597,982 +$32,759,259 $7.43 97
2019 Q1 39,431,692 $163,640,655 -$14,392,555 $4.15 93
2018 Q4 43,447,727 $168,997,820 -$26,750,243 $3.89 116
2018 Q3 42,575,902 $306,701,455 -$22,521,171 $7.20 129
2018 Q2 43,025,857 $601,694,870 +$123,630,268 $14.00 121
2018 Q1 34,697,714 $312,224,561 +$43,964,706 $9.00 111
2017 Q4 30,072,750 $293,335,416 +$30,967,171 $9.75 107
2017 Q3 27,415,012 $171,345,244 +$60,953,297 $6.25 98
2017 Q2 17,691,255 $92,005,408 +$2,953,969 $5.20 74
2017 Q1 17,177,986 $73,009,072 +$9,453,963 $4.25 69
2016 Q4 16,747,917 $72,019,542 -$1,619,243 $4.30 77
2016 Q3 17,150,312 $96,118,846 +$4,221,663 $5.60 79
2016 Q2 16,502,477 $70,483,171 +$13,844,778 $4.27 78
2016 Q1 13,384,237 $58,452,855 +$14,040,670 $4.36 73
2015 Q4 10,008,134 $30,822,000 -$291,851 $3.08 58
2015 Q3 10,222,711 $25,451,000 -$4,447,678 $2.49 53
2015 Q2 9,969,217 $26,913,824 +$564,434 $2.70 55
2015 Q1 9,643,935 $26,522,000 +$4,504,331 $2.75 47
2014 Q4 8,301,859 $13,369,100 +$258,323 $1.61 47
2014 Q3 8,239,508 $14,825,000 +$1,873,769 $1.80 48
2014 Q2 7,298,512 $15,394,497 +$2,008,344 $2.11 46
2014 Q1 6,347,131 $13,146,738 +$810,589 $2.07 45