COMMUNITY HEALTH SYSTEMS INC - COM (CYH)

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
98.2 M
Holdings value Q1 2024
$344 M
Value change Q1 2024
+$12.7 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
178
Number of buys Q1 2024
79
Number of sells Q1 2024
-86
Average buys Q1 2024 %
+0.006%
Average sells Q1 2024 %
0%
CUSIP
203668108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 98.2 M $344 M +$12.7 M $3.50 178
2023 Q4 94.9 M $297 M -$17.6 M $3.13 189
2023 Q3 104 M $302 M -$7.57 M $2.90 179
2023 Q2 105 M $461 M -$9.86 M $4.40 191
2023 Q1 107 M $524 M -$2.51 M $4.90 194
2022 Q4 108 M $466 M +$22.6 M $4.32 187
2022 Q3 103 M $222 M -$31.6 M $2.15 167
2022 Q2 117 M $439 M +$4.71 M $3.75 190
2022 Q1 107 M $1.27 B +$14.4 M $11.87 198
2021 Q4 105 M $1.4 B +$1.87 M $13.31 210
2021 Q3 105 M $1.22 B -$2.71 M $11.70 200
2021 Q2 94.1 M $1.45 B -$35.7 M $15.44 208
2021 Q1 109 M $1.47 B +$48.3 M $13.52 197
2020 Q4 96.3 M $716 M -$16 M $7.43 173
2020 Q3 101 M $428 M -$17.6 M $4.22 159
2020 Q2 88 M $265 M -$11.5 M $3.01 139
2020 Q1 90 M $301 M -$17.5 M $3.34 148
2019 Q4 92.4 M $268 M -$5.95 M $2.90 140
2019 Q3 93.9 M $338 M -$7.03 M $3.60 153
2019 Q2 112 M $299 M -$4.84 M $2.67 150
2019 Q1 115 M $429 M +$639 K $3.73 161
2018 Q4 98.9 M $279 M +$204 K $2.82 152
2018 Q3 98.7 M $342 M +$9.83 M $3.46 147
2018 Q2 97.4 M $324 M -$8.9 M $3.32 162
2018 Q1 115 M $457 M -$9.4 M $3.96 164
2017 Q4 116 M $492 M -$67.4 M $4.26 173
2017 Q3 121 M $928 M +$76.9 M $7.68 193
2017 Q2 110 M $1.1 B -$1.62 M $9.96 212
2017 Q1 111 M $980 M +$170 M $8.87 205
2016 Q4 112 M $624 M -$233 M $5.59 220
2016 Q3 124 M $1.43 B -$29.7 M $11.54 245
2016 Q2 124 M $1.5 B +$146 M $12.05 247
2016 Q1 109 M $2.01 B -$201 M $18.51 250
2015 Q4 107 M $2.85 B -$260 M $26.53 271
2015 Q3 110 M $4.71 B -$58.7 M $42.77 346
2015 Q2 109 M $6.86 B +$106 M $62.97 339
2015 Q1 109 M $5.7 B -$67.6 M $52.28 325
2014 Q4 110 M $5.94 B -$91.3 M $53.92 322
2014 Q3 111 M $6.08 B -$159 M $54.79 306
2014 Q2 115 M $5.2 B +$306 M $45.37 279
2014 Q1 108 M $4.24 B +$487 M $39.17 272