Kornit Digital Ltd. - SHS (KRNT)

Historical Portfolio Holders from Q2 2015 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / SHS
Shares, excl. options Q3 2024
46.2M
Holdings value Q3 2024
$1.19B
Value change Q3 2024
+$54.7M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
155
Number of buys Q3 2024
74
Number of sells Q3 2024
-72
Average buys Q3 2024 %
+0.001%
Average sells Q3 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 46.2M $1.19B +$54.7M $25.84 157
2024 Q2 44.6M $653M -$13.7M $14.64 147
2024 Q1 45.4M $823M +$290K $18.12 160
2023 Q4 45.3M $868M +$1.52M $19.16 162
2023 Q3 44.1M $833M -$50.7M $18.91 163
2023 Q2 45.4M $1.33B +$61.9M $29.37 176
2023 Q1 43.7M $845M -$50.7M $19.36 175
2022 Q4 45.8M $1.05B -$24.9M $22.97 175
2022 Q3 46.6M $1.24B -$9.62M $26.61 181
2022 Q2 46.6M $1.48B -$227M $31.70 206
2022 Q1 46.5M $3.85B -$36.2M $82.69 250
2021 Q4 45.7M $6.96B +$404M $152.25 265
2021 Q3 42.9M $6.21B +$107M $144.74 235
2021 Q2 42.4M $5.27B +$139M $124.33 218
2021 Q1 42.1M $4.18B +$1.32M $99.12 219
2020 Q4 42.2M $3.75B -$20.3M $89.13 179
2020 Q3 42.5M $2.76B +$281M $64.87 179
2020 Q2 38.2M $2.04B +$29.3M $53.38 165
2020 Q1 38.1M $947M +$46.6M $24.89 146
2019 Q4 35.7M $1.22B -$21.2M $34.23 133
2019 Q3 38.7M $1.19B +$19.1M $30.78 135
2019 Q2 38.5M $1.22B +$168M $31.66 144
2019 Q1 33.6M $799M +$14.7M $23.80 133
2018 Q4 33.3M $623M +$46.9M $18.72 118
2018 Q3 30.5M $669M -$47.4M $21.90 104
2018 Q2 32.3M $574M +$16.3M $17.80 104
2018 Q1 31.8M $412M -$4.94M $12.90 94
2017 Q4 31.1M $502M +$41.6M $16.15 100
2017 Q3 26.7M $408M +$14.4M $15.30 88
2017 Q2 24.7M $479M +$125M $19.35 95
2017 Q1 18.5M $352M +$179M $19.10 75
2016 Q4 9.32M $118M +$17.8M $12.65 44
2016 Q3 7.93M $74.4M +$4.3M $9.38 35
2016 Q2 7.47M $72.9M +$6.15M $9.76 30
2016 Q1 6.8M $67.8M +$1.95M $9.95 28
2015 Q4 6.59M $71.6M -$1.76M $10.80 29
2015 Q3 6.62M $83.3M -$7.51M $12.51 22
2015 Q2 7.13M $98.1M +$98.1M $13.76 20