AXCELIS TECHNOLOGIES INC - COM NEW (ACLS)

Historical Portfolio Holders from Q3 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q1 2024
28.8 M
Holdings value Q1 2024
$3.22 B
Value change Q1 2024
+$3.03 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
361
Number of buys Q1 2024
158
Number of sells Q1 2024
-253
Average buys Q1 2024 %
+0.002%
Average sells Q1 2024 %
-0.002%
CUSIP
054540208
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 28.8 M $3.22 B +$3.03 M $111.52 361
2023 Q4 28.8 M $3.73 B -$83.8 M $129.69 409
2023 Q3 29.2 M $4.76 B -$1.21 M $163.05 416
2023 Q2 29.1 M $5.33 B +$36.6 M $183.33 399
2023 Q1 29 M $3.86 B +$8.66 M $133.25 377
2022 Q4 29 M $2.3 B +$85.9 M $79.36 314
2022 Q3 28.2 M $1.71 B +$43.7 M $60.56 269
2022 Q2 27.7 M $1.51 B +$33.1 M $54.84 259
2022 Q1 26.8 M $2.02 B -$43.7 M $75.53 273
2021 Q4 27.5 M $2.05 B -$111 M $74.56 243
2021 Q3 29 M $1.37 B +$16.5 M $47.03 200
2021 Q2 28.4 M $1.15 B -$16.6 M $40.42 178
2021 Q1 29 M $1.19 B +$33.1 M $41.09 188
2020 Q4 28.5 M $829 M +$8.93 M $29.12 161
2020 Q3 27.8 M $611 M -$2.6 M $22.00 158
2020 Q2 28.3 M $787 M -$6.31 M $27.85 165
2020 Q1 28.1 M $516 M +$10.8 M $18.31 122
2019 Q4 28.1 M $677 M +$38.9 M $24.09 127
2019 Q3 26.2 M $448 M -$2.94 M $17.09 132
2019 Q2 26.5 M $398 M +$8 M $15.05 123
2019 Q1 26.7 M $537 M -$8.61 M $20.12 138
2018 Q4 26.9 M $478 M +$15.8 M $17.80 128
2018 Q3 26.6 M $522 M -$22.3 M $19.65 145
2018 Q2 27.7 M $549 M +$9.63 M $19.80 153
2018 Q1 27.7 M $682 M -$22.3 M $24.60 155
2017 Q4 28.6 M $820 M +$105 M $28.70 170
2017 Q3 24.9 M $682 M +$36 M $27.35 141
2017 Q2 24 M $502 M +$36.6 M $20.95 123
2017 Q1 22.6 M $424 M +$48 M $18.80 90
2016 Q4 22 M $320 M +$7.69 M $14.55 81
2016 Q3 20.5 M $272 M +$654 K $13.28 76
2016 Q2 20.4 M $55 M +$55 M $2.69 14
2015 Q3 11.7 M $31.2 M +$31.2 M $2.67 1