AMC Networks Inc. - CL A (AMCX)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
27.4 M
Holdings value Q1 2024
$332 M
Value change Q1 2024
-$25 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
184
Number of buys Q1 2024
91
Number of sells Q1 2024
-83
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
00164V103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 27.4 M $332 M -$25 M $12.13 186
2023 Q4 27.5 M $517 M +$59.6 M $18.79 181
2023 Q3 25.1 M $296 M -$4.47 M $11.78 179
2023 Q2 25.4 M $304 M -$38 M $11.95 173
2023 Q1 26.9 M $473 M -$1.17 M $17.58 201
2022 Q4 27.1 M $424 M -$2.49 M $15.67 194
2022 Q3 27.2 M $552 M -$20.3 M $20.30 174
2022 Q2 27.5 M $800 M -$44.1 M $29.12 186
2022 Q1 29.8 M $1.21 B -$39.4 M $40.63 215
2021 Q4 30.7 M $1.06 B -$18.9 M $34.44 220
2021 Q3 31 M $1.44 B -$34.5 M $46.59 233
2021 Q2 31.5 M $2.11 B -$6.93 M $66.80 233
2021 Q1 31.5 M $1.68 B -$324 M $53.16 240
2020 Q4 39.6 M $1.42 B -$195 M $35.77 227
2020 Q3 45.9 M $1.13 B +$92.2 M $24.71 223
2020 Q2 41.1 M $961 M +$10.5 M $23.39 220
2020 Q1 41.3 M $1 B -$188 M $24.31 225
2019 Q4 46.8 M $1.85 B -$92.6 M $39.50 281
2019 Q3 49.1 M $2.41 B +$33.1 M $49.16 290
2019 Q2 47.5 M $2.58 B -$101 M $54.49 309
2019 Q1 52.3 M $2.97 B +$197 M $56.76 330
2018 Q4 49.3 M $2.7 B +$55.3 M $54.88 318
2018 Q3 49.1 M $3.25 B +$31.7 M $66.34 318
2018 Q2 48.6 M $3.03 B -$83.7 M $62.20 328
2018 Q1 50.9 M $2.63 B -$208 M $51.70 312
2017 Q4 54.9 M $2.97 B +$16.1 M $54.08 320
2017 Q3 53.5 M $3.13 B -$19.5 M $58.47 302
2017 Q2 54.6 M $2.92 B -$12.3 M $53.41 302
2017 Q1 54.9 M $3.22 B +$204 M $58.68 312
2016 Q4 56.7 M $2.97 B -$62.4 M $52.34 298
2016 Q3 57.9 M $3 B -$148 M $51.86 281
2016 Q2 60 M $3.63 B -$156 M $60.42 292
2016 Q1 62.3 M $4.04 B -$95.1 M $64.94 303
2015 Q4 63.8 M $4.76 B +$147 M $74.68 307
2015 Q3 61.6 M $4.51 B +$205 M $73.17 284
2015 Q2 58.7 M $4.81 B -$90.1 M $81.85 269
2015 Q1 60.3 M $4.62 B +$50.4 M $76.64 260
2014 Q4 61.6 M $3.93 B -$26.1 M $63.77 251
2014 Q3 61 M $3.56 B +$60.5 M $58.42 253
2014 Q2 59.6 M $3.66 B +$165 M $61.49 264
2014 Q1 57.9 M $4.24 B +$248 M $73.08 276