EASTMAN KODAK CO - COM NEW (KODK)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q2 2024
35M
Holdings value Q2 2024
$188M
Value change Q2 2024
+$27.7M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
134
Number of buys Q2 2024
72
Number of sells Q2 2024
-42
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 35M $188M +$27.7M $5.38 136
2024 Q1 29.9M $148M +$17.3M $4.95 122
2023 Q4 26.8M $105M +$2.64M $3.90 127
2023 Q3 25.9M $109M +$5.11M $4.21 121
2023 Q2 24.5M $113M +$5M $4.62 107
2023 Q1 23.6M $96.8M +$750K $4.10 106
2022 Q4 23.6M $72M -$6.5M $3.05 118
2022 Q3 22.8M $104M -$2.1M $4.59 104
2022 Q2 24.4M $113M +$3.97M $4.64 97
2022 Q1 24.2M $158M +$25.6M $6.55 99
2021 Q4 20.3M $94.9M -$5.42M $4.68 99
2021 Q3 18.9M $129M -$3.99M $6.81 106
2021 Q2 19M $158M +$33.3M $8.32 112
2021 Q1 15.1M $119M +$1.77M $7.87 125
2020 Q4 14.8M $121M -$5.97M $8.14 109
2020 Q3 15.5M $137M +$46M $8.82 112
2020 Q2 10.7M $23.9M +$1.62M $2.23 58
2020 Q1 10.2M $17.6M -$3.79M $1.73 46
2019 Q4 11.9M $55.5M -$16.1M $4.65 42
2019 Q3 19.3M $50.8M -$5.93M $2.64 42
2019 Q2 21.7M $52M -$7.36M $2.40 51
2019 Q1 24.5M $72.6M -$948K $2.96 58
2018 Q4 24.7M $63M +$2.79M $2.55 61
2018 Q3 23.6M $73.1M +$1.39M $3.10 68
2018 Q2 21.9M $83.1M +$1.86M $3.80 68
2018 Q1 22.8M $122M -$24.5M $5.35 73
2017 Q4 29.6M $91.7M -$4.17M $3.10 74
2017 Q3 30.5M $224M -$2.53M $7.35 85
2017 Q2 30.8M $280M +$62.8M $9.10 81
2017 Q1 22.4M $253M -$119M $11.50 96
2016 Q4 30.4M $471M -$1.51M $15.50 85
2016 Q3 30.4M $457M -$2.99M $15.00 76
2016 Q2 30.6M $492M -$3.83M $16.08 84
2016 Q1 30.2M $328M +$534K $10.85 78
2015 Q4 30.1M $377M -$17.3M $12.54 72
2015 Q3 31.1M $486M +$8.34M $15.62 71
2015 Q2 30.2M $507M +$3.95M $16.80 75
2015 Q1 30M $570M +$1.51M $18.99 76
2014 Q4 30M $650M -$1.79M $21.71 66
2014 Q3 29.1M $640M +$13.2M $21.97 58
2014 Q2 28.5M $697M +$161M $24.47 67
2014 Q1 21.6M $707M +$47.2M $33.40 45