DHI GROUP, INC. - COM (DHX)

Historical Portfolio Holders from Q4 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
33.5 M
Holdings value Q1 2024
$85.3 M
Value change Q1 2024
+$991 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
80
Number of buys Q1 2024
35
Number of sells Q1 2024
-35
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
23331S100
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 33.5 M $85.3 M +$991 K $2.55 80
2023 Q4 33 M $85.4 M +$266 K $2.59 74
2023 Q3 32.8 M $100 M -$2.38 M $3.06 88
2023 Q2 33.5 M $128 M -$2.18 M $3.83 87
2023 Q1 34 M $132 M -$3.2 M $3.88 94
2022 Q4 34.6 M $183 M -$6.38 M $5.29 103
2022 Q3 36.4 M $196 M -$5.58 M $5.38 93
2022 Q2 38.2 M $189 M +$7.99 M $4.97 103
2022 Q1 36.2 M $216 M -$2.09 M $5.95 89
2021 Q4 36.6 M $228 M -$517 K $6.24 70
2021 Q3 36 M $172 M -$4.43 M $4.76 63
2021 Q2 37.2 M $126 M -$6.03 M $3.38 70
2021 Q1 36.8 M $123 M +$2.07 M $3.35 70
2020 Q4 38.3 M $85 M -$2.44 M $2.22 70
2020 Q3 37.1 M $83.7 M -$194 K $2.26 75
2020 Q2 36.8 M $77.3 M -$4.38 M $2.10 79
2020 Q1 39.3 M $84.6 M -$462 K $2.16 81
2019 Q4 42.2 M $127 M -$514 K $3.01 89
2019 Q3 41.9 M $161 M +$5.96 M $3.85 91
2019 Q2 40.6 M $145 M +$27.8 M $3.57 90
2019 Q1 34.1 M $82.8 M +$892 K $2.43 66
2018 Q4 34 M $51.7 M -$1.48 M $1.52 60
2018 Q3 34.5 M $72.4 M -$1.34 M $2.10 69
2018 Q2 35.3 M $82.9 M -$15.3 M $2.35 83
2018 Q1 36.5 M $58.6 M -$16.1 K $1.60 111
2017 Q4 43 M $81.7 M +$4.57 M $1.90 118
2017 Q3 40.8 M $106 M -$4.89 M $2.60 120
2017 Q2 42.6 M $122 M -$1.58 M $2.85 133
2017 Q1 42.3 M $167 M +$18.4 M $3.95 133
2016 Q4 41.9 M $262 M -$14.1 M $6.25 136
2016 Q3 44.4 M $350 M +$6.18 M $7.89 150
2016 Q2 43.6 M $272 M -$20.5 M $6.23 154
2016 Q1 46.3 M $373 M +$11.6 M $8.07 158
2015 Q4 44.5 M $408 M -$25.5 M $9.17 158
2015 Q3 46.3 M $339 M -$3.72 M $7.31 130
2015 Q2 46.3 M $411 M +$377 M $8.89 128
2015 Q1 3.95 M $35.2 M +$35.2 M $8.92 12
2014 Q4 320 $3 K $0 $9.38 1