Globalstar, Inc. - COM (GSAT)

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
362 M
Holdings value Q1 2024
$531 M
Value change Q1 2024
+$8.12 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
208
Number of buys Q1 2024
97
Number of sells Q1 2024
-72
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.001%
CUSIP
378973408
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 362 M $531 M +$8.12 M $1.47 208
2023 Q4 353 M $684 M +$76.4 M $1.94 210
2023 Q3 312 M $408 M +$5.17 M $1.31 196
2023 Q2 308 M $332 M -$26.4 M $1.08 182
2023 Q1 332 M $385 M -$11.9 M $1.16 195
2022 Q4 343 M $456 M +$14.4 M $1.33 198
2022 Q3 328 M $522 M +$8.37 M $1.59 173
2022 Q2 326 M $400 M +$2.06 M $1.23 160
2022 Q1 324 M $476 M +$5.31 M $1.47 163
2021 Q4 324 M $376 M -$5.34 M $1.16 149
2021 Q3 318 M $532 M +$17.5 M $1.67 160
2021 Q2 305 M $543 M +$115 M $1.78 141
2021 Q1 242 M $327 M -$22.7 M $1.35 125
2020 Q4 277 M $93.8 M +$1.27 M $0.34 86
2020 Q3 268 M $82.3 M -$4.14 M $0.31 85
2020 Q2 281 M $91.7 M -$5.98 M $0.33 81
2020 Q1 300 M $88.2 M -$468 K $0.29 84
2019 Q4 303 M $157 M -$4.93 M $0.52 84
2019 Q3 369 M $153 M -$3.58 M $0.41 92
2019 Q2 375 M $180 M -$2.36 M $0.48 109
2019 Q1 381 M $164 M -$5.84 M $0.43 107
2018 Q4 377 M $241 M +$6.96 M $0.64 104
2018 Q3 360 M $183 M -$7.38 M $0.51 99
2018 Q2 410 M $201 M -$25 M $0.49 116
2018 Q1 457 M $314 M -$2.78 M $0.69 133
2017 Q4 450 M $589 M +$83.9 M $1.31 150
2017 Q3 309 M $503 M +$14.2 M $1.63 138
2017 Q2 301 M $640 M +$1.51 M $2.13 144
2017 Q1 299 M $478 M +$74.9 M $1.60 132
2016 Q4 297 M $469 M +$11.2 M $1.58 139
2016 Q3 272 M $329 M -$3.38 M $1.21 137
2016 Q2 276 M $333 M -$28.9 M $1.21 139
2016 Q1 292 M $429 M -$15.9 M $1.47 125
2015 Q4 304 M $437 M -$12.3 M $1.44 122
2015 Q3 308 M $484 M -$4.02 M $1.57 120
2015 Q2 306 M $645 M -$3.71 M $2.11 129
2015 Q1 301 M $1 B +$12.6 M $3.33 128
2014 Q4 297 M $816 M -$13 M $2.75 120
2014 Q3 294 M $1.08 B +$83.9 M $3.66 137
2014 Q2 271 M $1.15 B +$878 M $4.25 127
2014 Q1 63.9 M $169 M +$22.4 M $2.65 11