ACCURAY INC - COM (ARAY)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
61.6 M
Holdings value Q1 2024
$152 M
Value change Q1 2024
-$3.63 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
114
Number of buys Q1 2024
44
Number of sells Q1 2024
-59
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
004397105
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 61.6 M $152 M -$3.63 M $2.47 115
2023 Q4 63 M $178 M -$3.34 M $2.83 127
2023 Q3 64 M $174 M -$6.94 M $2.72 116
2023 Q2 66.6 M $258 M +$27.8 M $3.87 117
2023 Q1 59.8 M $178 M +$8.65 M $2.97 110
2022 Q4 57.1 M $119 M -$4.7 M $2.09 102
2022 Q3 59 M $123 M -$4.96 M $2.08 96
2022 Q2 61.2 M $120 M -$23 M $1.96 109
2022 Q1 69.3 M $229 M -$245 K $3.31 136
2021 Q4 63.3 M $302 M +$10.2 M $4.77 131
2021 Q3 67.2 M $265 M -$13 M $3.95 126
2021 Q2 70.5 M $319 M +$4.74 M $4.52 122
2021 Q1 69 M $341 M +$13.4 M $4.95 132
2020 Q4 65.8 M $274 M +$167 K $4.17 118
2020 Q3 64.8 M $155 M -$202 K $2.40 108
2020 Q2 65.1 M $132 M -$317 K $2.03 114
2020 Q1 65.1 M $124 M -$5.94 M $1.90 102
2019 Q4 66 M $186 M -$4.93 M $2.82 110
2019 Q3 67 M $186 M -$5.88 M $2.77 107
2019 Q2 70.7 M $273 M -$4.41 M $3.87 122
2019 Q1 72.4 M $345 M +$14.3 M $4.77 132
2018 Q4 69.1 M $236 M -$13 M $3.41 131
2018 Q3 73.6 M $331 M +$12.3 M $4.50 122
2018 Q2 73.2 M $300 M -$1.15 M $4.10 119
2018 Q1 74 M $370 M +$21.7 M $5.00 124
2017 Q4 69.8 M $300 M +$11.1 M $4.30 110
2017 Q3 67.1 M $268 M +$4.06 M $4.00 106
2017 Q2 65.7 M $312 M -$28.5 M $4.75 103
2017 Q1 71.7 M $341 M +$24.6 M $4.75 120
2016 Q4 72 M $331 M -$17.2 M $4.60 118
2016 Q3 75.7 M $482 M -$16.7 M $6.37 128
2016 Q2 74.7 M $388 M -$20.9 M $5.19 131
2016 Q1 80.2 M $463 M -$6.28 M $5.78 131
2015 Q4 81.1 M $548 M +$13.8 M $6.75 128
2015 Q3 77.6 M $388 M -$1.82 M $4.99 126
2015 Q2 77.5 M $522 M -$106 M $6.74 129
2015 Q1 87.6 M $815 M +$4.57 M $9.30 134
2014 Q4 88.7 M $669 M +$40.1 M $7.55 125
2014 Q3 83.5 M $606 M +$1.09 M $7.26 145
2014 Q2 82.3 M $724 M -$8.95 M $8.80 142
2014 Q1 82.9 M $796 M +$7.33 M $9.60 129