CONRAD INDS INC COM - COM (CNRD)

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
238 K
Holdings value Q1 2024
$1.79 M
Value change Q1 2024
+$1.55 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
2
Number of buys Q1 2024
1
Number of sells Q1 2024
0
Average buys Q1 2024 %
+0.003%
Average sells Q1 2024 %
0
CUSIP
208305102
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 238 K $1.79 M +$1.55 M $8.03 2
2023 Q4 31.2 K $296 K $0 $9.50 2
2023 Q3 4.34 K $38.1 K $0 $8.79 1
2023 Q2 4.34 K $48.2 K +$6 K $11.11 1
2023 Q1 3.8 K $54 K $0 $14.23 1
2022 Q4 3.8 K $64 K $0 $16.85 1
2022 Q3 3.8 K $64 K $0 $16.85 1
2022 Q2 3.8 K $62 K $0 $16.32 1
2022 Q1 3.8 K $61 K +$24.1 K $16.06 1
2021 Q4 2.3 K $33 K +$8.62 K $14.36 1
2021 Q3 1.7 K $26 K $0 $15.31 1
2021 Q2 1.7 K $26 K $0 $15.31 1
2021 Q1 1.7 K $23 K $0 $13.55 1
2020 Q4 1.7 K $19 K $0 $11.19 1
2020 Q3 1.7 K $20 K $0 $11.78 1
2020 Q2 1.7 K $16 K $0 $9.42 1
2020 Q1 1.7 K $15 K +$7.05 K $8.83 1
2019 Q4 900 $10 K -$1.77 M $11.11 1
2019 Q3 169 K $1.78 M +$378 K $10.50 1
2019 Q2 134 K $1.81 M -$67.7 K $13.53 1
2019 Q1 4.6 K $67.7 K $0 $14.72 1
2018 Q4 129 K $1.7 M -$178 K $13.15 2
2018 Q3 143 K $2.71 M +$225 K $19.00 2
2018 Q2 131 K $2.27 M +$99.1 K $17.35 1
2018 Q1 125 K $2.12 M +$370 K $16.96 1
2017 Q4 103 K $1.72 M +$727 K $16.70 1
2017 Q3 59.7 K $1.1 M -$7.08 K $18.40 1
2017 Q2 60.1 K $1.04 M -$296 K $17.25 1
2017 Q1 77.3 K $1.52 M -$395 K $19.60 1
2016 Q4 96 K $2.05 M +$307 K $21.35 2
2016 Q3 81.6 K $2.02 M -$48.2 K $24.70 2
2016 Q2 85.4 K $1.82 M -$826 K $21.25 3
2016 Q1 124 K $2.38 M +$288 K $19.16 3
2015 Q4 109 K $2.43 M -$149 K $22.20 3
2015 Q3 116 K $2.58 M -$8.63 M $22.25 3
2015 Q2 171 K $5.13 M -$602 K $30.05 6
2015 Q1 190 K $5.88 M +$512 K $31.00 6
2014 Q4 172 K $6 M +$1.7 M $35.00 7
2014 Q3 122 K $4.62 M +$1.6 M $38.00 6
2014 Q2 79.5 K $3.06 M -$783 K $38.49 5
2014 Q1 98.7 K $3.92 M +$1.07 M $39.71 5