AMARIN CORP PLC\UK - SPONS ADR NEW (AMRN)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / SPONS ADR NEW
Shares, excl. options Q1 2024
83.6 M
Holdings value Q1 2024
$74.5 M
Value change Q1 2024
-$3.22 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
160
Number of buys Q1 2024
55
Number of sells Q1 2024
-52
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
023111206
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 83.6 M $74.5 M -$3.22 M $0.89 161
2023 Q4 85.2 M $74.2 M +$7.45 M $0.87 165
2023 Q3 90 M $82.7 M -$12.6 M $0.92 176
2023 Q2 103 M $122 M +$4.29 M $1.19 189
2023 Q1 98.9 M $148 M -$17.8 M $1.50 192
2022 Q4 112 M $135 M -$15.4 M $1.21 186
2022 Q3 123 M $134 M -$11 M $1.09 158
2022 Q2 135 M $201 M -$6.71 M $1.49 186
2022 Q1 132 M $433 M -$13.3 M $3.29 199
2021 Q4 128 M $432 M +$43.8 M $3.37 211
2021 Q3 120 M $610 M -$30.4 M $5.10 225
2021 Q2 128 M $561 M -$64 M $4.38 222
2021 Q1 138 M $859 M -$59.1 M $6.21 238
2020 Q4 148 M $724 M +$20.4 M $4.89 215
2020 Q3 146 M $616 M -$82.5 M $4.21 241
2020 Q2 162 M $1.12 B +$18 M $6.92 268
2020 Q1 164 M $657 M -$308 M $4.00 269
2019 Q4 164 M $3.51 B -$506 M $21.44 318
2019 Q3 183 M $2.78 B +$335 M $15.16 271
2019 Q2 163 M $3.16 B +$260 M $19.39 251
2019 Q1 157 M $3.26 B +$69.4 M $20.76 248
2018 Q4 156 M $2.12 B +$188 M $13.61 227
2018 Q3 139 M $2.26 B +$553 M $16.27 156
2018 Q2 112 M $346 M -$38 M $3.09 119
2018 Q1 124 M $374 M +$27.5 M $3.01 121
2017 Q4 111 M $447 M +$13.3 M $4.01 117
2017 Q3 109 M $380 M +$21.3 M $3.50 107
2017 Q2 102 M $412 M -$533 K $4.03 107
2017 Q1 102 M $325 M +$1.27 M $3.20 101
2016 Q4 105 M $325 M -$3.61 M $3.08 103
2016 Q3 106 M $339 M +$219 M $3.19 97
2016 Q2 37.8 M $81.6 M -$5.3 M $2.16 78
2016 Q1 40.9 M $62.6 M -$10.2 M $1.53 70
2015 Q4 47.2 M $89.2 M -$2.46 M $1.89 74
2015 Q3 48.8 M $94.1 M -$9.2 M $1.93 65
2015 Q2 50.8 M $125 M +$15.3 M $2.46 72
2015 Q1 44.2 M $103 M -$4.55 M $2.34 80
2014 Q4 49.5 M $48.4 M -$13.6 M $0.98 64
2014 Q3 61.7 M $67.2 M +$3.37 M $1.09 79
2014 Q2 55 M $96.6 M +$909 K $1.76 76
2014 Q1 53.7 M $97.3 M +$12.3 M $1.81 85