COSAN LTD - SHS A (CZZ) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2022

Type / Class
Equity / SHS A
Symbol
CZZ
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of COSAN LTD - SHS A (CZZ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q2 0 $0 -$2,143,000 0
2022 Q1 108,237 $2,143,000 +$2,143,000 $19.80 1
2021 Q2 0 $0 -$8,831,000 0
2021 Q1 428,420 $8,831,000 -$1,176,657,342 $20.29 3
2020 Q4 66,854,736 $1,234,282,321 +$21,097,176 $18.43 89
2020 Q3 50,996,234 $757,293,785 -$91,140,129 $14.85 102
2020 Q2 55,895,808 $840,281,087 -$26,586,904 $15.06 102
2020 Q1 57,314,213 $704,696,298 -$125,288,665 $12.30 122
2019 Q4 63,124,899 $1,443,715,513 -$320,580 $22.84 138
2019 Q3 55,004,064 $819,541,453 -$47,897,178 $14.90 121
2019 Q2 59,105,126 $788,870,604 +$8,208,848 $13.36 129
2019 Q1 59,094,611 $684,462,718 -$61,451,017 $11.59 119
2018 Q4 65,026,026 $571,739,088 -$34,659,705 $8.80 107
2018 Q3 69,472,039 $467,273,311 +$12,671,807 $6.73 100
2018 Q2 67,383,159 $514,140,926 +$5,809,865 $7.63 109
2018 Q1 65,994,552 $685,769,955 +$29,970,710 $10.39 106
2017 Q4 62,881,241 $607,482,807 -$112,402,466 $9.70 96
2017 Q3 72,474,185 $589,031,639 -$25,709,500 $8.13 105
2017 Q2 76,598,938 $492,991,674 -$43,074,361 $6.41 109
2017 Q1 81,576,095 $695,644,472 +$7,857,921 $8.54 123
2016 Q4 82,759,215 $621,638,507 +$6,047,598 $7.51 132
2016 Q3 81,608,211 $581,927,600 -$17,493,702 $7.15 130
2016 Q2 86,108,098 $560,056,144 -$15,379,762 $6.51 111
2016 Q1 89,778,728 $441,661,148 +$16,573,693 $4.92 108
2015 Q4 86,834,408 $319,098,317 +$18,421,217 $3.69 97
2015 Q3 80,762,892 $233,374,189 -$62,911,657 $2.89 97
2015 Q2 87,132,055 $536,656,316 +$9,201,021 $6.16 115
2015 Q1 85,467,089 $542,175,679 +$2,257,772 $6.33 108
2014 Q4 82,658,850 $638,925,560 -$27,992,852 $7.75 103
2014 Q3 82,965,918 $892,565,915 -$38,482,718 $10.76 104
2014 Q2 86,119,961 $1,167,982,229 +$103,207,996 $13.56 104
2014 Q1 78,505,935 $894,631,233 +$31,603,132 $11.40 102