ClearSign Technologies Corp - COM (CLIR)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
2.91 M
Holdings value Q1 2024
$2.81 M
Value change Q1 2024
+$125 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
26
Number of buys Q1 2024
14
Number of sells Q1 2024
-8
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
185064102
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 2.91 M $2.81 M +$125 K $0.97 26
2023 Q4 2.77 M $3.07 M -$11.7 K $1.11 25
2023 Q3 2.78 M $3.03 M +$142 K $1.09 28
2023 Q2 2.65 M $3.47 M +$289 K $1.31 27
2023 Q1 2.5 M $1.99 M -$26.8 K $0.80 25
2022 Q4 2.54 M $1.36 M -$70.6 K $0.54 28
2022 Q3 2.66 M $2.44 M +$83.8 K $0.91 24
2022 Q2 2.54 M $3.07 M -$62.8 K $1.21 23
2022 Q1 2.57 M $4.2 M -$114 K $1.63 21
2021 Q4 2.67 M $3.69 M -$129 K $1.38 25
2021 Q3 2.72 M $5.48 M -$1.12 M $2.00 32
2021 Q2 2.98 M $14.3 M +$719 K $4.80 41
2021 Q1 2.81 M $63.4 M +$50.3 M $5.68 36
2020 Q4 2.32 M $6.79 M +$652 K $2.93 26
2020 Q3 2.56 M $5.78 M +$411 K $2.26 23
2020 Q2 2.38 M $4.95 M -$1.73 M $2.08 24
2020 Q1 3.21 M $2.31 M -$26.7 K $0.72 18
2019 Q4 3.25 M $2.48 M -$121 K $0.76 18
2019 Q3 3.33 M $4.07 M +$22.2 K $1.22 21
2019 Q2 3.34 M $3.84 M +$361 K $1.15 19
2019 Q1 3.03 M $2.73 M -$484 K $0.90 20
2018 Q4 3.48 M $3.55 M +$195 K $1.02 20
2018 Q3 3.24 M $5.19 M +$401 K $1.60 19
2018 Q2 2.95 M $5.89 M +$476 K $2.00 19
2018 Q1 2.73 M $5.53 M +$1.55 M $2.02 21
2017 Q4 1.93 M $6.96 M +$1.29 M $3.60 22
2017 Q3 1.53 M $5.43 M -$78.7 K $3.55 18
2017 Q2 1.56 M $5.92 M -$223 K $3.80 22
2017 Q1 1.59 M $6.2 M +$1.37 M $3.90 23
2016 Q4 1.39 M $4.73 M -$903 K $3.40 30
2016 Q3 1.64 M $9.84 M +$1.35 M $6.00 27
2016 Q2 1.42 M $6.98 M -$275 K $5.00 26
2016 Q1 1.48 M $5.91 M -$522 K $3.99 26
2015 Q4 1.63 M $7.9 M -$241 K $4.85 29
2015 Q3 1.68 M $10.4 M +$312 K $6.19 28
2015 Q2 1.61 M $8.7 M +$518 K $5.41 21
2015 Q1 1.52 M $8.05 M +$1.67 M $5.29 20
2014 Q4 1.17 M $8.58 M +$1.36 M $7.33 21
2014 Q3 1.11 M $7.45 M +$643 K $6.68 18
2014 Q2 1 M $9.2 M +$484 K $9.18 18
2014 Q1 970 K $10.6 M +$3.11 M $10.91 19