Benchmark Electronics Inc (BHE)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM
Shares, Excl. Options Q1 2024
$33.1M
Holdings value Q1 2024
$992M
Value change Q1 2024
-$105K
Grand Portfolio weight change Q1 2024
0%
Number of holders
228
Number of Buys Q1 2024
115
Number of Sells Q1 2024
-89
Average Buys Q1 2024 %
+0%
Average Sells Q1 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 33.1M $992M -$105K $30.01 215
2023 Q4 33.1M $916M +$20.2M $27.64 192
2023 Q3 32.6M $790M -$4.36M $24.26 193
2023 Q2 32.7M $846M +$12.9M $25.83 187
2023 Q1 32.5M $770M +$2.58M $23.69 190
2022 Q4 32.5M $868M +$4.69M $26.69 194
2022 Q3 32.4M $804M +$11.3M $24.78 174
2022 Q2 32.6M $736M +$6.74M $22.56 174
2022 Q1 33.1M $829M +$1.75M $25.04 168
2021 Q4 32.9M $892M +$11.4M $27.10 165
2021 Q3 33.2M $886M +$33.1M $26.71 176
2021 Q2 33.6M $956M +$22.5M $28.46 174
2021 Q1 33.6M $1.04B -$14.3M $30.92 175
2020 Q4 35.1M $948M +$16.7M $27.01 161
2020 Q3 34.5M $695M +$5.96M $20.15 157
2020 Q2 33.9M $731M +$9.12M $21.60 166
2020 Q1 35.1M $701M +$4.98M $19.99 168
2019 Q4 35.8M $1.23B +$15.8M $34.36 201
2019 Q3 35.8M $1.04B +$2.49M $29.06 188
2019 Q2 34.6M $870M -$81.7K $25.12 180
2019 Q1 38.4M $1.01B -$36.9M $26.25 197
2018 Q4 39M $827M -$54.7M $21.18 178
2018 Q3 44.4M $1.04B +$59.5M $23.40 175
2018 Q2 45.2M $1.32B +$38.2M $29.15 190
2018 Q1 46.2M $1.38B +$3.72M $29.85 205
2017 Q4 48M $1.4B -$13.7M $29.10 211
2017 Q3 48.5M $1.66B +$8.25M $34.15 200
2017 Q2 48.3M $1.56B -$3.08M $32.30 205
2017 Q1 49.2M $1.56B +$218M $31.80 201
2016 Q4 47.9M $1.46B +$20.7M $30.50 198
2016 Q3 47.7M $1.19B +$14.4M $24.95 189
2016 Q2 47.3M $1B +$10.2M $21.15 181
2016 Q1 47.5M $1.09B +$28.3M $23.05 185
2015 Q4 47.4M $980M -$8.86M $20.67 189
2015 Q3 48.6M $1.06B -$7.51M $21.76 171
2015 Q2 47.9M $1.04B +$8.6M $21.78 175
2015 Q1 50M $1.2B +$28.9M $24.03 188
2014 Q4 50.7M $1.29B +$14.3M $25.44 197
2014 Q3 51.2M $1.14B +$11.1M $22.21 194
2014 Q2 51.7M $1.32B +$39.5M $25.48 207
2014 Q1 51.5M $1.17B +$7.66M $22.65 212