Blue Bird Corp - COM (BLBD)

Historical Portfolio Holders from Q1 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
29 M
Holdings value Q1 2024
$1.11 B
Value change Q1 2024
+$39.7 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
181
Number of buys Q1 2024
121
Number of sells Q1 2024
-74
Average buys Q1 2024 %
+0.002%
Average sells Q1 2024 %
-0.015%
CUSIP
095306106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 29 M $1.11 B +$39.7 M $38.34 182
2023 Q4 29.4 M $794 M +$20.6 M $26.96 157
2023 Q3 29.3 M $625 M +$4.63 M $21.35 132
2023 Q2 28.8 M $648 M -$480 K $22.48 126
2023 Q1 28.9 M $590 M +$7.22 M $20.43 95
2022 Q4 28.6 M $306 M -$3.58 M $10.71 69
2022 Q3 28 M $234 M -$18.3 M $8.35 65
2022 Q2 19.8 M $182 M -$2.73 M $9.21 65
2022 Q1 29.7 M $559 M +$32 M $18.82 71
2021 Q4 28 M $438 M +$42.4 M $15.64 69
2021 Q3 24 M $501 M -$3.15 M $20.86 74
2021 Q2 23.8 M $593 M +$12.5 M $24.86 84
2021 Q1 23.6 M $590 M -$15.4 M $25.03 84
2020 Q4 24.5 M $448 M -$2.48 M $18.26 69
2020 Q3 23.7 M $288 M -$10.2 M $12.16 80
2020 Q2 24.9 M $373 M +$3.42 M $14.99 86
2020 Q1 24.1 M $263 M -$7.15 M $10.93 84
2019 Q4 24.8 M $571 M +$8.48 M $22.92 95
2019 Q3 25.4 M $484 M -$2.43 M $19.04 83
2019 Q2 25.6 M $503 M -$5.29 M $19.69 84
2019 Q1 25.7 M $436 M +$9.54 M $16.93 78
2018 Q4 25.3 M $460 M -$13.7 M $18.19 79
2018 Q3 26 M $637 M -$6.46 M $24.50 79
2018 Q2 26.2 M $586 M +$70.9 M $22.35 82
2018 Q1 23.1 M $547 M +$5.82 M $23.70 81
2017 Q4 23 M $458 M +$7.88 M $19.90 82
2017 Q3 22.5 M $464 M -$902 K $20.60 75
2017 Q2 23.2 M $395 M +$10.6 M $17.00 72
2017 Q1 22.6 M $388 M +$23.5 M $17.15 75
2016 Q4 21.4 M $331 M +$13 M $15.45 75
2016 Q3 8.66 M $126 M +$14.8 M $14.61 63
2016 Q2 7.51 M $89.3 M -$128 M $11.90 48
2016 Q1 19.5 M $211 M +$9.4 M $10.85 45
2015 Q4 18.6 M $189 M +$123 M $10.14 37
2015 Q3 6.44 M $64.2 M +$4.89 M $9.96 33
2015 Q2 5.87 M $76.3 M +$7.33 M $12.99 34
2015 Q1 5.4 M $55.4 M +$55.4 M $10.25 14