CONMED Corp - COM (CNMD)

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
34.7 M
Holdings value Q1 2024
$2.78 B
Value change Q1 2024
-$98.7 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
280
Number of buys Q1 2024
148
Number of sells Q1 2024
-161
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.001%
CUSIP
207410101
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 34.7 M $2.78 B -$98.7 M $80.08 280
2023 Q4 35.7 M $3.91 B +$111 M $109.51 297
2023 Q3 35.2 M $3.55 B -$9.47 M $100.85 267
2023 Q2 34.9 M $4.74 B -$136 M $135.89 256
2023 Q1 35.9 M $3.72 B +$69.7 M $103.86 227
2022 Q4 35.4 M $3.13 B +$84.9 M $88.64 231
2022 Q3 33.9 M $2.72 B +$59.7 M $80.17 232
2022 Q2 33.3 M $3.19 B +$130 M $95.76 261
2022 Q1 31.2 M $4.63 B +$60.2 M $148.55 261
2021 Q4 31.7 M $4.5 B +$84.4 M $141.76 255
2021 Q3 31.5 M $4.12 B +$16 M $130.83 256
2021 Q2 31.4 M $4.31 B +$62.6 M $137.43 248
2021 Q1 30.7 M $4.01 B +$77.3 M $130.59 234
2020 Q4 30.5 M $3.42 B +$81.3 M $112.00 238
2020 Q3 30.3 M $2.38 B +$64.7 M $78.67 230
2020 Q2 29.5 M $2.12 B +$45.1 M $71.99 219
2020 Q1 28.9 M $1.65 B -$52.4 M $57.27 210
2019 Q4 29 M $3.25 B +$3.95 M $111.83 259
2019 Q3 28.9 M $2.78 B -$21.9 M $96.15 228
2019 Q2 29.2 M $2.5 B +$85.3 M $85.57 219
2019 Q1 29.1 M $2.42 B +$177 M $83.18 216
2018 Q4 27.1 M $1.74 B -$30.5 M $64.20 200
2018 Q3 27.5 M $2.18 B -$3.78 M $79.22 203
2018 Q2 27.6 M $2.02 B +$61.8 M $73.20 191
2018 Q1 27.3 M $1.73 B -$35.4 M $63.33 171
2017 Q4 27.8 M $1.42 B -$10.6 M $50.97 152
2017 Q3 28 M $1.47 B +$16.9 M $52.47 142
2017 Q2 27.3 M $1.39 B -$6.32 M $50.94 146
2017 Q1 27.6 M $1.23 B +$136 M $44.41 140
2016 Q4 27.6 M $1.22 B -$13.9 M $44.17 142
2016 Q3 27.9 M $1.12 B -$5.79 M $40.06 144
2016 Q2 27.8 M $1.33 B +$35.7 M $47.73 150
2016 Q1 27.6 M $1.16 B +$75 M $41.94 156
2015 Q4 27.4 M $1.2 B +$1.11 M $44.05 149
2015 Q3 27.1 M $1.29 B -$18 M $47.74 153
2015 Q2 26.3 M $1.53 B +$53.7 M $58.27 153
2015 Q1 26.4 M $1.33 B +$40.8 M $50.49 143
2014 Q4 25.9 M $1.16 B +$24.4 M $44.96 154
2014 Q3 23.8 M $876 M +$6.14 M $36.84 160
2014 Q2 23.6 M $1.04 B -$35.2 M $44.15 178
2014 Q1 24.4 M $1.06 B -$30 M $43.45 170