USA TECHNOLOGIES INC - COM NO PAR (USAT)

Historical Portfolio Holders from Q1 2014 to Q3 2021

All holders as of September 30, 2021
Q3 2021
Type / Class
Equity / COM NO PAR
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2021 Q3 0 $0 -$25M 0
2021 Q2 2.11M $25M -$530M $11.86 2
2021 Q1 47.6M $555M +$103M $11.72 101
2020 Q4 38.8M $407M +$200M $10.48 96
2020 Q3 15.4M $135M -$629K $8.75 13
2020 Q2 15.5M $109M +$4.4M $7.01 11
2020 Q1 14.9M $68.4M +$160K $4.60 11
2019 Q4 14.9M $110M -$12M $7.40 14
2019 Q3 16.6M $121M -$187M $7.33 20
2019 Q2 42.2M $314M +$32.8M $7.43 99
2019 Q1 39.4M $164M -$14.4M $4.15 95
2018 Q4 43.4M $169M -$26.7M $3.89 116
2018 Q3 42.6M $307M -$22.5M $7.20 129
2018 Q2 43M $602M +$124M $14.00 122
2018 Q1 34.7M $312M +$44M $9.00 112
2017 Q4 30.1M $293M +$31M $9.75 108
2017 Q3 27.4M $171M +$61M $6.25 98
2017 Q2 17.7M $92M +$2.94M $5.20 72
2017 Q1 17.2M $73M +$9.39M $4.25 69
2016 Q4 16.6M $71.6M -$1.65M $4.30 76
2016 Q3 17.2M $96.1M +$4.22M $5.60 80
2016 Q2 16.5M $70.5M +$13.8M $4.27 78
2016 Q1 13.4M $58.5M +$14M $4.36 73
2015 Q4 10M $30.8M -$286K $3.08 56
2015 Q3 10.2M $25.5M -$4.45M $2.49 53
2015 Q2 9.97M $26.9M +$552K $2.70 54
2015 Q1 9.65M $26.5M +$4.51M $2.75 48
2014 Q4 8.3M $13.4M +$177K $1.61 48
2014 Q3 8.24M $14.8M +$1.6M $1.80 47
2014 Q2 7.1M $15M +$1.6M $2.11 45
2014 Q1 6.35M $13.1M +$811K $2.07 45