VIEWRAY INC - COM (VRAYQ) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2016 to Q4 2023

Type / Class
Equity / COM
Symbol
VRAYQ on OTC
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VIEWRAY INC - COM (VRAYQ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2023 Q4 0 $0 -$20,356 0
2023 Q3 2,471,995 $20,356 -$43,110,676 $0.01 7
2023 Q2 125,004,983 $44,002,410 -$64,085,793 $0.35 118
2023 Q1 154,374,224 $533,472,593 +$11,587,501 $3.46 168
2022 Q4 139,449,309 $624,731,570 +$4,182,578 $4.48 173
2022 Q3 139,032,980 $506,756,793 -$3,123,139 $3.64 158
2022 Q2 156,238,213 $414,030,683 -$14,266,387 $2.65 162
2022 Q1 159,337,206 $624,571,651 -$12,193,574 $3.92 170
2021 Q4 162,084,803 $892,218,628 +$56,367,539 $5.51 170
2021 Q3 150,516,670 $1,084,682,106 +$7,845,847 $7.21 146
2021 Q2 149,614,724 $987,511,038 +$32,733,407 $6.60 142
2021 Q1 145,511,860 $632,401,723 +$90,268,882 $4.35 130
2020 Q4 123,610,093 $472,200,868 +$21,727,707 $3.82 115
2020 Q3 118,180,852 $413,476,503 -$6,102,999 $3.50 110
2020 Q2 120,282,996 $269,412,832 -$981,078 $2.24 115
2020 Q1 121,995,715 $304,577,604 -$65,855,884 $2.50 109
2019 Q4 134,644,923 $568,217,090 +$158,188,361 $4.22 134
2019 Q3 99,391,493 $288,251,595 -$84,523,713 $2.90 137
2019 Q2 105,733,387 $931,476,522 +$50,807,073 $8.81 138
2019 Q1 100,697,525 $744,153,397 +$23,213,349 $7.39 144
2018 Q4 98,355,948 $594,785,950 +$19,715,600 $6.07 134
2018 Q3 94,102,918 $880,813,041 +$237,518,462 $9.36 143
2018 Q2 68,728,678 $475,591,567 +$63,552,086 $6.92 102
2018 Q1 59,720,648 $383,347,357 +$32,343,246 $6.43 89
2017 Q4 54,661,643 $505,328,672 +$130,199,888 $9.26 89
2017 Q3 33,784,929 $194,834,520 +$11,834,304 $5.76 72
2017 Q2 31,668,893 $204,888,569 +$21,367,944 $6.47 66
2017 Q1 28,234,203 $239,796,094 +$22,690,477 $8.51 55
2016 Q4 25,795,199 $80,738,080 +$475,917 $3.13 34
2016 Q3 25,620,517 $115,855,337 +$5,481,562 $4.52 29
2016 Q2 24,417,330 $99,865,704 +$2,958,829 $4.09 29
2016 Q1 23,691,547 $101,874,000 +$101,874,000 $4.30 6