AMCON DISTRIBUTING CO - COM NEW (DIT)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q1 2024
70 K
Holdings value Q1 2024
$12.9 M
Value change Q1 2024
+$200 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
17
Number of buys Q1 2024
4
Number of sells Q1 2024
-8
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
02341Q205
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 70 K $12.9 M +$200 K $184.00 17
2023 Q4 68.9 K $13.4 M +$42.6 K $195.00 18
2023 Q3 69.4 K $14.3 M +$8.48 K $206.00 21
2023 Q2 71.8 K $14.6 M +$797 K $203.00 20
2023 Q1 66.1 K $11 M -$310 K $167.00 17
2022 Q4 67.7 K $12.2 M +$197 K $181.00 17
2022 Q3 60 K $12.6 M +$499 K $210.02 15
2022 Q2 57.6 K $9.38 M +$683 K $163.03 12
2022 Q1 53.4 K $8.29 M -$9.83 K $155.30 10
2021 Q4 54 K $10.8 M -$130 K $199.54 11
2021 Q3 54.7 K $8.15 M +$238 K $148.98 12
2021 Q2 53.1 K $8.13 M -$22 K $153.10 10
2021 Q1 53.3 K $6.11 M -$16 K $114.67 9
2020 Q4 53.4 K $6.35 M -$614 K $118.91 9
2020 Q3 59.2 K $3.82 M +$28.8 K $64.57 10
2020 Q2 58.7 K $3.31 M +$19 K $56.32 9
2020 Q1 58.4 K $3.68 M -$861 $63.01 9
2019 Q4 58.4 K $4.2 M +$120 K $72.03 10
2019 Q3 56.7 K $4.41 M +$17.2 K $77.04 9
2019 Q2 56.5 K $5.41 M +$12 K $95.83 9
2019 Q1 56.4 K $4.96 M -$35.3 K $87.07 9
2018 Q4 79.8 K $7.96 M -$274 K $99.75 10
2018 Q3 83 K $7.21 M +$172 K $86.96 13
2018 Q2 81 K $7.13 M -$391 K $88.02 11
2018 Q1 85.3 K $7.68 M -$1.39 M $90.00 13
2017 Q4 101 K $9.32 M -$346 K $89.86 15
2017 Q3 104 K $9.26 M +$473 K $88.50 17
2017 Q2 99.3 K $10.4 M +$998 K $104.88 16
2017 Q1 89.8 K $8.89 M -$289 K $99.05 16
2016 Q4 91.9 K $10.6 M +$530 K $115.29 23
2016 Q3 73 $5 K +$3 K $66.67 3
2016 Q2 84 K $7.49 M +$365 K $89.59 20
2016 Q1 79.9 K $6.45 M +$162 K $80.80 17
2015 Q4 77.9 K $6.28 M -$112 K $80.88 15
2015 Q3 79.3 K $6.35 M +$357 K $80.00 14
2015 Q2 74.8 K $5.97 M -$369 K $79.63 13
2015 Q1 79.5 K $6.36 M +$130 K $80.42 11
2014 Q4 77.8 K $6.19 M -$111 K $79.99 13
2014 Q3 78.9 K $6.8 M +$629 K $84.88 15
2014 Q2 71.6 K $5.83 M +$442 K $81.64 12
2014 Q1 66.2 K $5.66 M +$294 K $85.54 11