AVANOS MEDICAL, INC. - COM (AVNS)

Historical Portfolio Holders from Q1 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
42.1 M
Holdings value Q1 2024
$837 M
Value change Q1 2024
-$16.9 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
245
Number of buys Q1 2024
84
Number of sells Q1 2024
-126
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
05350V106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 42.1 M $837 M -$16.9 M $19.91 245
2023 Q4 43.5 M $975 M +$27.7 M $22.43 252
2023 Q3 42.7 M $864 M -$24.4 M $20.22 243
2023 Q2 43.3 M $1.11 B -$10.2 M $25.56 256
2023 Q1 43.8 M $1.3 B +$18.3 M $29.74 271
2022 Q4 43.3 M $1.17 B +$4.21 M $27.06 266
2022 Q3 41.1 M $896 M -$2.88 M $21.78 206
2022 Q2 43.3 M $1.18 B -$12.8 M $27.34 219
2022 Q1 43.5 M $1.46 B +$752 K $33.50 244
2021 Q4 42.4 M $1.47 B -$4.29 M $34.67 241
2021 Q3 43.1 M $1.35 B -$24.2 M $31.20 230
2021 Q2 44.4 M $1.61 B -$404 K $36.37 238
2021 Q1 44 M $1.93 B -$43.5 M $43.74 255
2020 Q4 44.5 M $2.04 B -$24.5 M $45.88 230
2020 Q3 45.7 M $1.52 B -$9.07 M $33.22 216
2020 Q2 46.1 M $1.36 B +$22.9 M $29.39 222
2020 Q1 45.4 M $1.22 B -$26 M $26.93 207
2019 Q4 45.8 M $1.54 B +$20.5 M $33.70 238
2019 Q3 45 M $1.68 B -$4.08 M $37.46 241
2019 Q2 45.1 M $1.97 B +$48.1 M $43.61 268
2019 Q1 44.9 M $1.92 B +$47.7 M $42.68 289
2018 Q4 43.8 M $1.96 B -$16.4 M $44.79 299
2018 Q3 42.7 M $2.92 B +$2.85 B $68.50 347
2018 Q2 1.04 M $59.5 M +$59.5 M $57.26 32
2018 Q1 332 $15.3 K +$599 $46.08 2
2017 Q4 319 $14.7 K $0 $46.18 2
2017 Q3 319 $14.4 K -$1.25 K $45.03 2
2017 Q2 347 $13.6 K $0 $39.28 3
2017 Q1 347 $13.2 K -$457 $38.08 3
2016 Q4 359 $13.3 K -$2.74 K $36.98 3
2016 Q3 432 $15 K -$1.63 K $34.66 2
2016 Q2 479 $15.6 K $0 $32.52 2
2016 Q1 479 $13.8 K $0 $28.73 2