COHERENT CORP. - COM (COHR)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
5.82K
Holdings value Q2 2024
$422K
Value change Q2 2024
+$168K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
3
Number of buys Q2 2024
1
Number of sells Q2 2024
0
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 5.82K $422K +$168K $72.46 3
2024 Q1 2 $532 $0 $266.00 1
2023 Q4 2 $532 $0 $266.00 1
2023 Q3 3.5K $115K $0 $149.32 2
2023 Q2 2 $532 $0 $266.00 1
2023 Q1 2 $532 $0 $266.00 1
2022 Q4 2 $532 -$14.4M $266.00 1
2022 Q3 406K $14.2M -$5.92B $34.86 3
2022 Q2 22.4M $5.97B -$75M $266.22 263
2022 Q1 22.8M $6.24B -$193M $273.36 273
2021 Q4 23.7M $6.31B +$499M $266.54 275
2021 Q3 21.3M $5.33B -$430M $250.09 268
2021 Q2 22.9M $6.05B +$134M $264.34 292
2021 Q1 22.4M $5.67B +$163M $252.89 291
2020 Q4 23M $3.45B +$56.1M $150.02 222
2020 Q3 22.2M $2.47B -$111M $110.93 222
2020 Q2 23.1M $3.02B -$64.3M $130.98 244
2020 Q1 24.1M $2.56B -$62.6M $106.41 227
2019 Q4 24.2M $4.02B -$10.8M $166.35 268
2019 Q3 24.2M $3.72B -$6.89M $153.72 254
2019 Q2 24.4M $3.33B -$90.8M $136.37 276
2019 Q1 25.5M $3.62B +$158M $141.72 266
2018 Q4 24.7M $2.61B -$128M $105.71 268
2018 Q3 24.7M $4.26B +$195M $172.19 285
2018 Q2 24.1M $3.77B -$197M $156.42 303
2018 Q1 24.3M $4.55B +$34.8M $187.40 337
2017 Q4 24.4M $6.89B -$180M $282.22 374
2017 Q3 24.5M $5.77B +$508M $235.17 347
2017 Q2 22.3M $5.01B -$147M $224.99 348
2017 Q1 23M $4.74B +$645M $205.64 297
2016 Q4 22.9M $3.14B +$32.1M $137.38 264
2016 Q3 22.8M $2.52B +$6.58M $110.54 235
2016 Q2 22.8M $2.1B +$6.84M $91.78 212
2016 Q1 22.4M $2.06B +$54.6M $91.90 209
2015 Q4 22.3M $1.45B +$16.1M $65.11 176
2015 Q3 22.4M $1.22B -$29.2M $54.70 162
2015 Q2 22.8M $1.44B +$11M $63.48 175
2015 Q1 22.8M $1.48B +$23.5M $64.96 163
2014 Q4 22.6M $1.37B -$78.1M $60.72 152
2014 Q3 23.7M $1.46B +$7.16M $61.37 146
2014 Q2 23.6M $1.56B +$19.7M $66.17 143
2014 Q1 23.3M $1.52B +$12.1M $65.35 140