Veradigm Inc. - COM (MDRX)

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
12.6 M
Holdings value Q1 2024
$96.7 M
Value change Q1 2024
-$1.04 B
Grand Portfolio weight change Q1 2024
-0.002%
Number of holders
35
Number of buys Q1 2024
18
Number of sells Q1 2024
-200
Average buys Q1 2024 %
+0.002%
Average sells Q1 2024 %
-0.007%
CUSIP
01988P108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 12.6 M $96.7 M -$1.04 B $7.70 35
2023 Q4 111 M $1.16 B +$124 K $10.49 220
2023 Q3 109 M $1.43 B +$7.37 M $13.14 211
2023 Q2 109 M $1.38 B -$8.2 M $12.60 219
2023 Q1 109 M $1.42 B -$21.9 M $13.05 235
2022 Q4 110 M $1.94 B -$96.5 M $17.64 242
2022 Q3 95.9 M $1.46 B +$21.2 M $15.23 235
2022 Q2 94.6 M $1.4 B -$23.5 M $14.83 227
2022 Q1 117 M $2.63 B -$51 M $22.52 233
2021 Q4 122 M $2.25 B -$92.9 M $18.45 206
2021 Q3 128 M $1.72 B -$122 M $13.37 211
2021 Q2 137 M $2.54 B -$137 M $18.51 224
2021 Q1 145 M $2.18 B -$126 M $15.02 225
2020 Q4 153 M $2.21 B -$131 M $14.44 211
2020 Q3 165 M $1.34 B -$71.6 M $8.14 191
2020 Q2 173 M $1.17 B -$1.83 M $6.77 190
2020 Q1 174 M $1.22 B -$78.1 M $7.04 191
2019 Q4 183 M $1.79 B +$57.9 M $9.82 230
2019 Q3 177 M $1.94 B -$43.6 M $10.98 209
2019 Q2 179 M $2.09 B +$77.4 M $11.63 214
2019 Q1 175 M $1.67 B -$33.9 M $9.54 217
2018 Q4 176 M $1.69 B -$77 M $9.64 211
2018 Q3 181 M $2.58 B -$3.79 M $14.25 242
2018 Q2 182 M $2.18 B -$62.1 M $12.00 237
2018 Q1 187 M $2.31 B -$61.2 M $12.35 255
2017 Q4 191 M $2.78 B -$110 M $14.55 253
2017 Q3 201 M $2.86 B -$14.8 M $14.23 243
2017 Q2 202 M $2.57 B +$174 M $12.76 224
2017 Q1 188 M $2.38 B +$231 M $12.68 237
2016 Q4 185 M $1.89 B -$536 K $10.21 242
2016 Q3 194 M $2.55 B +$34.4 M $13.17 245
2016 Q2 187 M $2.37 B -$4.24 M $12.70 243
2016 Q1 194 M $2.57 B +$69.8 M $13.21 235
2015 Q4 188 M $2.88 B +$353 K $15.38 234
2015 Q3 187 M $2.32 B -$147 M $12.40 237
2015 Q2 198 M $2.71 B +$2.35 M $13.68 227
2015 Q1 192 M $2.29 B +$91.7 M $11.96 225
2014 Q4 182 M $2.32 B +$65.6 M $12.77 216
2014 Q3 182 M $2.45 B +$63.2 M $13.42 220
2014 Q2 177 M $2.84 B -$41 M $16.05 217
2014 Q1 179 M $3.23 B +$66 M $18.03 209