BEL FUSE INC /NJ - CL A (BELFA)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
805 K
Holdings value Q1 2024
$57 M
Value change Q1 2024
+$2.19 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
29
Number of buys Q1 2024
6
Number of sells Q1 2024
-1
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
077347201
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 805 K $57 M +$2.19 M $70.81 29
2023 Q4 31 $1 K -$704 K $32.26 1
2023 Q3 667 K $31.3 M -$519 K $46.98 24
2023 Q2 675 K $39.2 M +$1.41 M $58.00 24
2023 Q1 651 K $23.6 M +$477 K $36.32 17
2022 Q4 645 K $20.8 M -$1.92 M $32.08 16
2022 Q3 703 K $19.7 M -$169 K $27.95 15
2022 Q2 709 K $15.2 M +$13.7 K $21.64 13
2022 Q1 709 K $14.9 M -$277 K $21.00 12
2021 Q4 726 K $10.8 M -$46.7 K $15.00 13
2021 Q3 729 K $10.5 M -$371 K $14.49 13
2021 Q2 755 K $10.8 M -$149 K $14.21 13
2021 Q1 758 K $14 M -$1.01 M $18.63 16
2020 Q4 801 K $10.7 M -$122 K $13.28 12
2020 Q3 827 K $9.59 M -$779 K $11.71 11
2020 Q2 901 K $9.07 M +$570 K $10.01 13
2020 Q1 852 K $6.35 M -$606 K $7.57 13
2019 Q4 896 K $14.5 M -$625 K $16.20 15
2019 Q3 101 $1 K -$18 K $9.90 1
2019 Q2 893 K $13.5 M -$5.73 K $15.23 15
2019 Q1 893 K $19.1 M -$107 K $21.42 16
2018 Q4 898 K $12.4 M -$157 K $13.74 15
2018 Q3 910 K $19.9 M -$1.09 M $21.13 16
2018 Q2 962 K $20.3 M -$57.7 K $20.90 16
2018 Q1 969 K $16.3 M -$75.1 K $16.80 17
2017 Q4 974 K $21.4 M -$159 K $21.82 15
2017 Q3 955 K $25.8 M +$149 K $27.18 13
2017 Q2 950 K $19.7 M -$331 K $20.85 15
2017 Q1 966 K $21.7 M +$215 K $22.67 14
2016 Q4 961 K $24.3 M -$1.65 M $25.31 15
2016 Q3 1.02 M $20.5 M -$3.93 K $20.15 14
2016 Q2 1.02 M $15.7 M -$105 K $15.67 14
2016 Q1 1.02 M $13.5 M +$35 K $13.15 13
2015 Q4 1.02 M $14.9 M -$59.7 K $14.61 14
2015 Q3 1.02 M $16.9 M -$1.02 M $16.51 13
2015 Q2 1.09 M $21.5 M +$45.1 K $19.43 13
2015 Q1 1.08 M $19.8 M +$641 K $18.32 15
2014 Q4 1.05 M $25.5 M -$250 K $24.23 16
2014 Q3 1.04 M $25 M -$102 K $23.57 17
2014 Q2 1.05 M $25.8 M -$4.96 M $24.58 17
2014 Q1 1.28 M $24.7 M -$336 K $19.33 14