eHealth, Inc. - COM (EHTH)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
19.8M
Holdings value Q2 2024
$89.6M
Value change Q2 2024
-$6.07M
Grand Portfolio weight change Q2 2024
0%
Number of holders
113
Number of buys Q2 2024
63
Number of sells Q2 2024
-56
Average buys Q2 2024 %
+0%
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 19.8M $89.6M -$6.07M $4.53 113
2024 Q1 20.5M $124M -$11.1M $6.03 100
2023 Q4 21.5M $188M -$1.67M $8.72 113
2023 Q3 17.7M $131M -$1.54M $7.40 107
2023 Q2 17.9M $144M +$2.21M $8.04 112
2023 Q1 17.5M $164M +$13.2M $9.36 109
2022 Q4 16.9M $81.8M -$13M $4.84 109
2022 Q3 18.1M $70.8M -$14.2M $3.91 106
2022 Q2 23.1M $215M -$5.26M $9.33 132
2022 Q1 20M $248M -$28M $12.41 143
2021 Q4 24.8M $635M -$38.3M $25.50 156
2021 Q3 24.8M $1.35B -$5.58M $40.50 173
2021 Q2 24.5M $1.43B -$28.3M $58.40 180
2021 Q1 24.7M $1.79B -$99.4M $72.73 191
2020 Q4 25.9M $1.83B -$115M $70.61 231
2020 Q3 27.6M $2.18B -$71.2M $79.00 225
2020 Q2 27.9M $2.75B +$60.6M $98.24 243
2020 Q1 26.4M $3.72B -$91.9M $140.82 267
2019 Q4 27.8M $2.67B +$257M $96.08 225
2019 Q3 25.3M $1.69B +$152M $66.79 212
2019 Q2 22.8M $1.97B +$91.1M $86.10 200
2019 Q1 22.2M $1.38B +$277M $62.34 168
2018 Q4 18.4M $708M -$7.16M $38.42 136
2018 Q3 18.3M $518M +$29M $28.26 111
2018 Q2 17.3M $383M +$16M $22.10 101
2018 Q1 16.7M $240M -$9.47M $14.31 94
2017 Q4 17.1M $297M -$3.1M $17.37 109
2017 Q3 16.7M $400M +$2.48M $23.89 111
2017 Q2 16.7M $313M -$7.78M $18.80 106
2017 Q1 17.2M $207M +$28.8M $12.04 90
2016 Q4 16.7M $178M +$2.26M $10.65 99
2016 Q3 16.4M $184M -$3.03M $11.21 95
2016 Q2 16.3M $228M +$9.66M $14.02 101
2016 Q1 15.4M $145M +$2.49M $9.39 87
2015 Q4 15.6M $156M -$3.35M $9.98 86
2015 Q3 15.3M $196M -$5.79M $12.81 90
2015 Q2 15.7M $199M +$11.1M $12.69 84
2015 Q1 15.3M $144M -$68.3M $9.38 92
2014 Q4 17.5M $437M -$14.6M $24.92 103
2014 Q3 17.9M $432M -$77M $24.13 95
2014 Q2 19.1M $726M -$48.7M $37.97 117
2014 Q1 19.5M $989M +$41.4M $50.80 134