Digital Turbine, Inc. - COM NEW (APPS)

Historical Portfolio Holders from Q4 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q1 2024
58.6 M
Holdings value Q1 2024
$153 M
Value change Q1 2024
-$29 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
179
Number of buys Q1 2024
88
Number of sells Q1 2024
-113
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
-0.001%
CUSIP
25400W102
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 58.6 M $153 M -$29 M $2.62 179
2023 Q4 62.4 M $428 M -$7.64 M $6.86 208
2023 Q3 64.8 M $392 M -$6.36 M $6.05 221
2023 Q2 63 M $585 M -$52 M $9.28 224
2023 Q1 68.6 M $847 M +$56.8 M $12.36 244
2022 Q4 62.8 M $957 M +$38.3 M $15.24 255
2022 Q3 61.2 M $882 M -$58.3 M $14.41 235
2022 Q2 63 M $1.1 B -$12.4 M $17.47 262
2022 Q1 59.8 M $2.62 B +$5.6 M $43.81 298
2021 Q4 61.3 M $3.73 B +$1.43 M $60.99 319
2021 Q3 61 M $4.2 B +$580 M $68.75 308
2021 Q2 51.9 M $3.95 B -$219 M $76.03 308
2021 Q1 54.9 M $4.4 B +$221 M $80.36 304
2020 Q4 52.3 M $2.96 B -$69.2 M $56.56 257
2020 Q3 53.4 M $1.75 B +$138 M $32.74 193
2020 Q2 53.1 M $667 M +$75.6 M $12.57 158
2020 Q1 46.7 M $201 M +$10.1 M $4.31 141
2019 Q4 41.8 M $298 M +$39.1 M $7.13 147
2019 Q3 33.7 M $217 M +$13.1 M $6.44 119
2019 Q2 32.6 M $163 M +$51.4 M $5.00 107
2019 Q1 22.7 M $79.5 M +$28.7 M $3.50 80
2018 Q4 14.4 M $26.4 M -$659 K $1.83 53
2018 Q3 17 M $21 M -$5.48 M $1.24 44
2018 Q2 20.5 M $30.9 M -$7.26 M $1.51 48
2018 Q1 23.9 M $48.1 M +$18.2 M $2.01 65
2017 Q4 16.7 M $29.9 M +$3.86 M $1.79 41
2017 Q3 14.7 M $22.2 M +$5.96 M $1.51 37
2017 Q2 10.9 M $11.2 M -$974 K $1.03 25
2017 Q1 11.8 M $11.1 M +$701 K $0.94 28
2016 Q4 11.3 M $7.68 M +$461 K $0.68 30
2016 Q3 12.1 M $12.7 M -$500 K $1.05 32
2016 Q2 12.6 M $13.4 M -$3.68 M $1.07 41
2016 Q1 15.9 M $19 M -$4.87 M $1.19 45
2015 Q4 19.4 M $25.8 M -$2.25 M $1.33 51
2015 Q3 18.1 M $32.8 M +$2.93 M $1.81 51
2015 Q2 15 M $45.3 M +$7.73 M $3.02 57
2015 Q1 12.5 M $40.7 M +$40.7 M $3.26 34
2014 Q4 12.9 K $43 K +$43 K $3.33 1