Maiden Holdings, Ltd. - SHS (MHLD)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / SHS
Shares, excl. options Q2 2024
20.9M
Holdings value Q2 2024
$43M
Value change Q2 2024
-$320K
Grand Portfolio weight change Q2 2024
0%
Number of holders
62
Number of buys Q2 2024
23
Number of sells Q2 2024
-24
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 20.9M $43M -$320K $2.06 62
2024 Q1 20.8M $46.8M -$2.27M $2.25 61
2023 Q4 21.3M $48.8M +$2.5M $2.29 63
2023 Q3 20.7M $36.4M -$4.99K $1.76 61
2023 Q2 20.1M $42.2M +$8.43M $2.10 59
2023 Q1 16.1M $33.6M -$1.51M $2.09 61
2022 Q4 16.7M $35.3M +$26.3K $2.11 52
2022 Q3 16.6M $35.7M -$2.82M $2.15 39
2022 Q2 17.1M $33.2M -$866K $1.94 54
2022 Q1 22.4M $53.9M -$1.98M $2.41 54
2021 Q4 23.1M $70.6M +$152K $3.06 57
2021 Q3 22.6M $71.6M -$1.87M $3.16 53
2021 Q2 23.2M $78.2M +$12.3M $3.37 55
2021 Q1 16.4M $54.1M -$632K $3.30 42
2020 Q4 19.7M $49.2M +$81K $2.49 36
2020 Q3 19.5M $23.8M -$906K $1.22 30
2020 Q2 20.3M $25.1M -$949K $1.24 32
2020 Q1 21.1M $19.2M -$1.77M $0.91 35
2019 Q4 23.2M $17.4M -$1.26M $0.75 35
2019 Q3 24.9M $18.6M -$4.4M $0.75 48
2019 Q2 30.9M $19.8M -$5.17M $0.64 60
2019 Q1 39.2M $29.1M -$7.79M $0.74 85
2018 Q4 42.6M $70.2M -$9.02M $1.65 121
2018 Q3 46.7M $133M -$52.6M $2.85 129
2018 Q2 53.1M $412M +$2.85M $7.75 140
2018 Q1 53.4M $347M -$10.4M $6.50 137
2017 Q4 53.6M $354M -$17.3M $6.60 135
2017 Q3 57.5M $457M -$23.7M $7.95 137
2017 Q2 59.7M $663M -$8.05M $11.10 156
2017 Q1 59.8M $837M +$123M $14.00 173
2016 Q4 58.9M $1.03B +$796K $17.45 177
2016 Q3 59.6M $756M +$99.6M $12.69 181
2016 Q2 51.7M $633M -$13.9M $12.24 150
2016 Q1 52.8M $683M +$7.63M $12.94 145
2015 Q4 52.1M $778M +$1.89M $14.91 152
2015 Q3 52M $722M +$10.5M $13.88 155
2015 Q2 51.3M $809M -$14.9M $15.78 155
2015 Q1 51.9M $770M +$3.8M $14.83 156
2014 Q4 51.9M $664M +$29.3M $12.79 148
2014 Q3 50.2M $556M +$13.9M $11.08 138
2014 Q2 48.9M $591M -$20.7M $12.09 142
2014 Q1 50.1M $625M +$12.7M $12.48 138