CHIMERA INVT CORP - COM NEW (CIMXXXX)

Historical Portfolio Holders from Q1 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q1 2024
116 M
Holdings value Q1 2024
$536 M
Value change Q1 2024
+$12 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
233
Number of buys Q1 2024
98
Number of sells Q1 2024
-124
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
16934Q208
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 116 M $536 M +$12 M $4.61 233
2023 Q4 115 M $576 M +$61.6 M $4.99 251
2023 Q3 103 M $561 M -$29.7 M $5.46 235
2023 Q2 108 M $622 M -$1.91 M $5.77 225
2023 Q1 109 M $618 M +$1.13 M $5.64 231
2022 Q4 109 M $598 M -$5.83 M $5.50 229
2022 Q3 108 M $564 M -$8.08 M $5.22 226
2022 Q2 110 M $970 M -$20 M $8.82 236
2022 Q1 112 M $1.35 B -$158 M $12.04 258
2021 Q4 125 M $1.89 B +$15.2 M $15.08 274
2021 Q3 124 M $1.84 B +$40.2 M $14.85 257
2021 Q2 121 M $1.83 B +$156 M $15.06 239
2021 Q1 111 M $1.42 B -$345 K $12.70 242
2020 Q4 109 M $1.12 B -$50.7 M $10.25 242
2020 Q3 116 M $950 M -$13.5 M $8.20 230
2020 Q2 114 M $1.1 B +$286 M $9.61 250
2020 Q1 86.5 M $789 M -$90.9 M $9.10 260
2019 Q4 92.3 M $1.9 B -$61.4 M $20.56 277
2019 Q3 95.4 M $1.87 B -$42.3 M $19.56 266
2019 Q2 97.5 M $1.84 B +$48.9 M $18.87 262
2019 Q1 98.2 M $1.84 B +$40.7 M $18.74 265
2018 Q4 91.4 M $1.62 B +$13.2 M $17.82 244
2018 Q3 90.4 M $1.63 B +$27.4 M $18.13 258
2018 Q2 90 M $1.64 B +$10.1 M $18.28 250
2018 Q1 91.2 M $1.58 B -$51.1 M $17.41 255
2017 Q4 93.8 M $1.73 B -$52.2 M $18.48 252
2017 Q3 96.1 M $1.81 B -$18.4 M $18.92 246
2017 Q2 97.6 M $1.81 B -$133 M $18.63 246
2017 Q1 102 M $2.05 B +$255 M $20.18 248
2016 Q4 99.4 M $1.68 B +$58.7 M $17.02 264
2016 Q3 96.2 M $1.53 B -$63.5 M $15.95 237
2016 Q2 101 M $1.58 B +$11.7 M $15.70 234
2016 Q1 99.9 M $1.36 B -$123 M $13.59 206
2015 Q4 109 M $1.49 B -$863 K $13.64 205
2015 Q3 109 M $1.46 B -$100 M $13.37 196
2015 Q2 117 M $1.6 B +$1.08 B $13.71 191
2015 Q1 38.7 M $122 M +$122 M $3.14 21