UNIVERSAL TECHNICAL INSTITUTE INC - COM (UTI)

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
45.5M
Holdings value Q2 2024
$716M
Value change Q2 2024
+$12.8M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
174
Number of buys Q2 2024
89
Number of sells Q2 2024
-93
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 14.9K $243K +$243K $16.29 1
2024 Q2 45.5M $716M +$12.8M $15.73 175
2024 Q1 44.7M $712M +$56.4M $15.94 164
2023 Q4 41.7M $522M +$201M $12.52 130
2023 Q3 25.7M $216M +$916K $8.38 101
2023 Q2 25.8M $178M +$4.18M $6.91 96
2023 Q1 25M $185M +$1.78M $7.38 98
2022 Q4 25.1M $169M -$320K $6.72 96
2022 Q3 25.1M $137M +$1.51M $5.44 95
2022 Q2 24.3M $173M +$22M $7.13 107
2022 Q1 21M $186M +$9.09M $8.85 98
2021 Q4 20M $157M +$1.65M $7.82 74
2021 Q3 19.6M $132M -$2.53M $6.76 72
2021 Q2 20M $129M +$834K $6.49 75
2021 Q1 20M $117M -$3.21M $5.84 82
2020 Q4 21M $135M -$5.56M $6.46 89
2020 Q3 22M $112M -$3.13M $5.08 96
2020 Q2 21.7M $151M +$10.8M $6.95 112
2020 Q1 20.3M $121M +$39.5M $5.95 81
2019 Q4 13.5M $104M +$6.6M $7.71 66
2019 Q3 16M $87.1M +$6.8M $5.44 43
2019 Q2 15.1M $51.7M -$699K $3.43 36
2019 Q1 15.3M $52.1M -$513K $3.41 40
2018 Q4 15.4M $56.3M +$325K $3.65 33
2018 Q3 15.5M $41.3M -$1.16M $2.66 37
2018 Q2 15.9M $50.2M +$58.9K $3.15 37
2018 Q1 15.9M $46.8M +$1.2M $2.94 40
2017 Q4 15.7M $37.6M -$213K $2.40 43
2017 Q3 14.3M $49.5M -$995K $3.47 44
2017 Q2 14.6M $52M -$429K $3.57 56
2017 Q1 14.7M $50.6M -$2.48M $3.45 47
2016 Q4 15.9M $46.4M -$2.66M $2.91 54
2016 Q3 17M $30.3M -$1.71M $1.78 65
2016 Q2 17.9M $40.5M -$4.57M $2.26 78
2016 Q1 19.5M $84.2M -$1.93M $4.31 83
2015 Q4 20M $93.2M +$8.47M $4.66 84
2015 Q3 18.5M $64.8M -$3.24M $3.51 94
2015 Q2 19.2M $165M -$657K $8.60 99
2015 Q1 19.2M $184M -$11.4M $9.60 103
2014 Q4 20.4M $200M -$2.14M $9.84 101
2014 Q3 20.3M $195M +$1.5M $9.35 86
2014 Q2 20.3M $247M -$68.4K $12.14 95
2014 Q1 20.2M $262M +$2.96M $12.95 96