SONIC HEALTHCARE - COM

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
135K
Holdings value Q2 2024
$2.39M
Value change Q2 2024
-$545K
Grand Portfolio weight change Q2 2024
0%
Number of holders
2
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 135K $2.39M -$545K $17.88 2
2024 Q1 166K $3.18M -$718K $18.96 2
2023 Q4 204K $4.47M $0 $22.08 2
2023 Q3 204K $3.92M -$2.59M $19.16 2
2023 Q2 280K $6.62M -$493K $23.51 2
2023 Q1 301K $6.99M +$6.38M $23.07 2
2022 Q4 26.7K $551K -$2.78M $20.64 1
2022 Q3 169K $3.31M -$500K $19.71 2
2022 Q2 194K $4.42M +$1.29M $22.65 2
2022 Q1 138K $3.65M -$2.81M $26.35 2
2021 Q4 244K $8.24M -$558K $33.60 2
2021 Q3 260K $7.63M -$373K $29.15 2
2021 Q2 273K $7.85M +$1.19M $28.68 2
2021 Q1 303K $8.06M +$264K $26.65 3
2020 Q4 293K $7.24M -$89.4K $24.77 3
2020 Q3 296K $7.04M -$1.37M $23.75 3
2020 Q2 354K $7.47M -$1.8M $21.00 3
2020 Q1 440K $6.53M +$575K $14.96 3
2019 Q4 401K $8.08M -$305K $20.17 3
2019 Q3 416K $7.87M -$606K $18.93 3
2019 Q2 448K $8.52M -$1.55M $18.81 4
2019 Q1 530K $9.23M -$832K $17.44 3
2018 Q4 578K $8.98M -$943K $15.57 3
2018 Q3 638K $11.5M +$212K $18.00 3
2018 Q2 626K $11.3M +$546K $18.15 3
2018 Q1 596K $10.4M +$1.85M $17.57 3
2017 Q4 491K $8.76M +$52.9K $17.85 3
2017 Q3 488K $8M -$239K $16.40 3
2017 Q2 503K $9.34M -$948K $18.61 3
2017 Q1 555K $9.35M -$1.65M $16.90 3
2016 Q4 651K $10M -$962K $15.43 3
2016 Q3 714K $12M +$387K $16.85 3
2016 Q2 690K $11.1M +$285K $16.07 2
2016 Q1 672K $9.71M +$683K $14.45 2
2015 Q4 625K $8.12M +$2.53M $13.00 2
2015 Q3 433K $5.54M -$2.82M $12.81 3
2015 Q2 653K $10.8M -$2.82M $16.49 3
2015 Q1 824K $12.9M -$3.28M $15.62 3
2014 Q4 1.03M $15.6M +$2.64M $15.14 2
2014 Q3 860K $13.2M -$478K $15.35 3
2014 Q2 891K $14.6M -$53.9K $16.36 4
2014 Q1 894K $14.3M +$2.53M $16.01 4