BIRKS GROUP INC. - CL A COM (BGI)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / CL A COM
Shares, excl. options Q2 2024
72.4K
Holdings value Q2 2024
$190K
Value change Q2 2024
-$41.3K
Grand Portfolio weight change Q2 2024
0%
Number of holders
5
Number of buys Q2 2024
0
Number of sells Q2 2024
-3
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 72.4K $190K -$41.3K $2.63 5
2024 Q1 86.2K $288K +$150K $3.34 6
2023 Q4 41.3K $194K +$33.2K $4.69 6
2023 Q3 36.5K $165K -$524K $4.50 6
2023 Q2 134K $708K -$1.02M $5.30 5
2023 Q1 315K $2.56M +$2.19M $8.11 7
2022 Q4 46K $365K -$181K $7.94 6
2022 Q3 74.5K $391K +$138K $5.24 5
2022 Q2 49.6K $257K -$354K $5.19 6
2022 Q1 120K $625K +$2.08K $5.20 5
2021 Q4 120K $582K +$102K $4.81 6
2021 Q3 106K $298K -$263K $2.80 5
2021 Q2 211K $498K -$9.63K $2.38 8
2021 Q1 217K $724K +$257K $3.34 7
2020 Q4 162K $139K +$130K $0.86 4
2020 Q3 10K $7K -$25.8K $0.70 1
2020 Q2 42.9K $34K +$11K $0.79 2
2020 Q1 36.5K $18K -$26K $0.49 2
2019 Q4 56.2K $51K -$3.98K $0.91 2
2019 Q3 60.5K $55K +$11.7K $0.91 3
2019 Q2 58.5K $60K +$17K $1.02 4
2019 Q1 42K $46K +$218 $1.09 3
2018 Q4 41.7K $41K +$13.4K $0.98 3
2018 Q3 28K $36K -$17.2K $1.29 2
2018 Q2 40.6K $54K +$5.87K $1.36 3
2018 Q1 36.1K $39K -$472 $1.09 3
2017 Q4 36.2K $47K -$36.3K $1.30 2
2017 Q3 57.3K $106K +$64.4K $1.86 3
2017 Q2 22.5K $29K -$8.09K $1.27 2
2017 Q1 27.8K $39K -$46.7K $1.40 3
2016 Q4 70.2K $76K -$12.7K $1.09 5
2016 Q3 57.6K $107K +$48.1K $1.85 4
2016 Q2 31.3K $17K -$2.1K $0.54 2
2016 Q1 35.1K $16K -$5.23K $0.45 2
2015 Q4 51.5K $18K +$1.16K $0.35 3
2015 Q3 21.4K $18K +$3.49K $0.84 2
2015 Q2 17.2K $21K +$17.5K $1.32 2
2015 Q1 2.46K $3K -$31K $1.22 1
2014 Q4 18.8K $36K -$1.1K $1.98 3
2014 Q3 18.5K $19K +$15K $1.05 2
2014 Q2 3.66K $4K $0 $1.09 1
2014 Q1 3.66K $4K -$19K $1.09 1