Caesarstone Ltd. - ORD SHS (CSTE)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / ORD SHS
Shares, excl. options Q2 2024
12.1M
Holdings value Q2 2024
$60.5M
Value change Q2 2024
+$4.72M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
68
Number of buys Q2 2024
37
Number of sells Q2 2024
-31
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 12.1M $60.5M +$4.72M $5.00 69
2024 Q1 11.2M $45.9M -$2.11M $4.09 60
2023 Q4 11.5M $44.8M -$1.81M $3.74 63
2023 Q3 11.9M $50.9M -$3.17M $4.28 64
2023 Q2 12M $62.7M +$1.33M $5.24 68
2023 Q1 12.1M $49.8M -$13.9M $4.13 78
2022 Q4 15M $85.6M -$8.15M $5.71 87
2022 Q3 15.5M $142M +$647K $9.31 82
2022 Q2 15.4M $140M -$9.22M $9.13 87
2022 Q1 15.8M $167M -$11.1M $10.52 88
2021 Q4 17.2M $194M -$14.4M $11.34 101
2021 Q3 18.3M $228M +$752K $12.42 105
2021 Q2 18.3M $271M +$1.23M $14.76 110
2021 Q1 17.7M $243M +$30.7M $13.73 111
2020 Q4 16M $206M +$1.35M $12.89 96
2020 Q3 16.2M $157M +$6.38M $9.80 87
2020 Q2 15.5M $182M +$4.25M $11.85 88
2020 Q1 15.2M $160M -$18.3M $10.57 90
2019 Q4 15.6M $236M +$14.1M $15.07 94
2019 Q3 15.5M $256M -$2.97M $16.61 89
2019 Q2 15.8M $237M +$503K $15.03 88
2019 Q1 15.9M $248M -$13.8M $15.61 81
2018 Q4 16.5M $225M -$17.5M $13.58 75
2018 Q3 16.1M $298M -$9.65M $18.55 92
2018 Q2 16.7M $255M -$39.3M $15.10 100
2018 Q1 18.7M $368M -$3M $19.65 120
2017 Q4 18.2M $400M -$40.2M $22.00 121
2017 Q3 16.3M $485M -$30M $29.80 124
2017 Q2 18.8M $657M -$57.8M $35.05 133
2017 Q1 20.2M $732M +$3.06M $36.25 127
2016 Q4 20.3M $581M -$80M $28.65 125
2016 Q3 22.4M $843M -$45.4M $37.71 135
2016 Q2 23.6M $821M +$95.6M $34.76 132
2016 Q1 20.7M $712M -$49M $34.35 104
2015 Q4 22.1M $958M +$30.5M $43.34 121
2015 Q3 21.6M $658M -$219M $30.40 105
2015 Q2 21.4M $1.47B +$37.8M $68.54 124
2015 Q1 20.8M $1.26B -$9.2M $60.71 114
2014 Q4 21.1M $1.26B +$58.4M $59.82 111
2014 Q3 20.1M $1.04B +$52.9M $51.68 106
2014 Q2 19.2M $941M +$229M $49.08 121
2014 Q1 14.4M $782M +$33.4M $54.38 109