BlueLinx Holdings Inc. - COM NEW (BXC)

Historical Portfolio Holders from Q2 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q1 2024
7.61 M
Holdings value Q1 2024
$991 M
Value change Q1 2024
-$12.9 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
173
Number of buys Q1 2024
82
Number of sells Q1 2024
-88
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
-0.001%
CUSIP
09624H208
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 7.61 M $991 M -$12.9 M $130.24 175
2023 Q4 7.74 M $877 M -$15.6 M $113.31 168
2023 Q3 7.93 M $651 M +$9.86 M $82.09 162
2023 Q2 7.81 M $732 M -$25.7 M $93.78 164
2023 Q1 8.07 M $548 M +$14.9 M $67.96 150
2022 Q4 7.89 M $561 M +$11.1 M $71.11 139
2022 Q3 7.64 M $475 M -$7.34 M $62.10 145
2022 Q2 7.71 M $515 M -$2.95 M $66.81 143
2022 Q1 7.74 M $557 M +$2.45 M $71.88 152
2021 Q4 7.72 M $739 M +$20 M $95.76 147
2021 Q3 7.4 M $362 M +$8.65 M $48.88 120
2021 Q2 7.27 M $366 M +$41.7 M $50.28 108
2021 Q1 5.94 M $233 M +$4.97 M $39.19 85
2020 Q4 6.33 M $185 M +$2.35 M $29.26 73
2020 Q3 6.17 M $133 M +$3.55 M $21.53 60
2020 Q2 6.6 M $56.5 M -$5.79 M $8.57 48
2020 Q1 7.28 M $36.1 M -$4.64 M $4.95 51
2019 Q4 8.26 M $118 M -$7.16 M $14.25 64
2019 Q3 7.98 M $258 M -$17.6 M $32.33 70
2019 Q2 8.52 M $169 M +$17.5 M $19.81 59
2019 Q1 7.65 M $204 M -$414 K $26.64 68
2018 Q4 7.75 M $191 M +$24.3 M $24.71 74
2018 Q3 6.03 M $190 M +$4.49 M $31.49 90
2018 Q2 5.77 M $216 M +$28.9 M $37.53 86
2018 Q1 4.79 M $156 M +$34.7 M $32.59 60
2017 Q4 4.91 M $47.9 M -$23.6 M $9.76 36
2017 Q3 6.74 M $69.6 M -$179 K $10.33 25
2017 Q2 6.77 M $74 M +$51.6 M $10.93 25
2017 Q1 2.06 M $18.7 M -$558 K $9.10 19
2016 Q4 2.14 M $16 M +$832 K $7.47 20
2016 Q3 2.03 M $18 M -$801 K $8.88 19
2016 Q2 2.13 M $15 M +$15 M $7.05 14