WESTPORT FUEL SYSTEMS INC. - common (WPRT)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / common
Shares, excl. options Q2 2024
0
Holdings value Q2 2024
$0
Value change Q2 2024
-$2.49M
Grand Portfolio weight change Q2 2024
0%
Number of holders
0
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 0 $0 -$2.49M 0
2024 Q1 369K $2.49M $0 $6.74 1
2023 Q4 369K $2.44M -$93.7K $6.62 1
2023 Q3 384K $2.31M -$21.6K $3.41 2
2023 Q2 385K $2.96M -$48.4M $7.69 2
2023 Q1 21.5M $20.5M +$48.7K $0.95 84
2022 Q4 21.5M $16.7M -$1.55M $0.77 78
2022 Q3 23.4M $20.4M -$3.11M $0.87 68
2022 Q2 27.2M $27.5M -$5.21M $1.01 82
2022 Q1 31.5M $49.8M -$16.8M $1.58 94
2021 Q4 39M $91.6M -$12.2M $2.37 114
2021 Q3 41.9M $138M -$18.2M $3.29 119
2021 Q2 45.3M $240M +$59.5M $5.31 123
2021 Q1 33.6M $241M +$69.8M $7.19 110
2020 Q4 25.4M $135M +$34.4M $5.33 85
2020 Q3 19.5M $31.8M -$84.4K $1.63 68
2020 Q2 20.3M $25.2M +$47.7K $1.24 65
2020 Q1 159K $28.1M -$2.64M $1.54 8
2019 Q4 26.7M $63.3M +$2.96M $2.37 86
2019 Q3 25.6M $69.5M +$8.9M $2.72 87
2019 Q2 22.3M $60.4M +$1.22M $2.71 83
2019 Q1 27.8M $46.2M -$9.77M $1.55 70
2018 Q4 29.3M $38.9M -$4.23M $1.33 77
2018 Q3 29.1M $87.6M +$9.46M $3.00 88
2018 Q2 26M $65.7M +$7.6M $2.53 81
2018 Q1 23.1M $50.5M -$95.6K $2.19 88
2017 Q4 22.7M $85.3M +$22.8M $3.76 97
2017 Q3 20.7M $71M +$31.9M $3.27 71
2017 Q2 12.3M $28.8M -$836K $2.35 61
2017 Q1 12.7M $12.2M +$224K $0.96 58
2016 Q4 12.5M $14.1M -$2.11M $1.13 59
2016 Q3 13.9M $22.4M -$8.82M $1.61 70
2016 Q2 18.8M $31.4M +$20.1M $1.67 75
2016 Q1 5.75M $15M -$750K $2.61 60
2015 Q4 6.45M $13M +$3.42M $2.01 66
2015 Q3 4.72M $11.8M -$1.39M $2.49 67
2015 Q2 4.81M $22.8M -$4.32M $4.74 84
2015 Q1 5.59M $22M -$14.1M $3.94 79
2014 Q4 9.28M $34.8M -$60.6M $3.74 91
2014 Q3 14.5M $152M -$28.6M $10.51 121
2014 Q2 16M $287M -$28.1M $18.02 127
2014 Q1 17.7M $256M -$82.1M $14.48 123