GRAY TELEVISION INC - COM (GTN)

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
70.9 M
Holdings value Q1 2024
$448 M
Value change Q1 2024
-$12.3 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
201
Number of buys Q1 2024
105
Number of sells Q1 2024
-97
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
0%
CUSIP
389375106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 70.9 M $448 M -$12.3 M $6.32 201
2023 Q4 70.1 M $628 M +$27.8 M $8.96 211
2023 Q3 68.5 M $474 M -$4.97 M $6.92 212
2023 Q2 73.2 M $577 M -$27.1 M $7.88 211
2023 Q1 75.4 M $657 M -$10.8 M $8.72 208
2022 Q4 77.2 M $864 M +$11.7 M $11.19 207
2022 Q3 75.1 M $1.08 B -$9.26 M $14.32 197
2022 Q2 77.1 M $1.3 B +$62.2 M $16.89 203
2022 Q1 73.2 M $1.62 B +$50.8 M $22.07 201
2021 Q4 71.5 M $1.44 B -$44.4 M $20.16 186
2021 Q3 73.3 M $1.67 B -$62.4 M $22.82 179
2021 Q2 76 M $1.78 B +$24.6 M $23.40 186
2021 Q1 76.2 M $1.4 B -$7.25 M $18.40 195
2020 Q4 77.1 M $1.38 B +$11.4 M $17.89 191
2020 Q3 77.2 M $1.06 B -$35.9 M $13.77 182
2020 Q2 79.8 M $1.11 B -$39.2 M $13.95 184
2020 Q1 83.2 M $894 M -$15.3 M $10.74 168
2019 Q4 85.2 M $1.83 B -$40.4 M $21.44 187
2019 Q3 78.5 M $1.28 B +$38.9 M $16.32 176
2019 Q2 85.2 M $1.39 B +$26.7 M $16.39 189
2019 Q1 85 M $1.82 B +$175 M $21.36 218
2018 Q4 75.4 M $1.11 B +$46.8 M $14.74 206
2018 Q3 75.7 M $1.32 B -$7.64 M $17.50 166
2018 Q2 78.6 M $1.24 B +$24.5 M $15.80 176
2018 Q1 78.2 M $993 M -$6.07 M $12.70 180
2017 Q4 73.2 M $1.22 B +$257 M $16.75 194
2017 Q3 61 M $957 M +$31.6 M $15.70 159
2017 Q2 59.6 M $817 M +$20.6 M $13.70 148
2017 Q1 56.3 M $817 M +$96.2 M $14.50 154
2016 Q4 54.2 M $588 M +$15.7 M $10.85 146
2016 Q3 54.9 M $569 M -$30.4 M $10.36 153
2016 Q2 57.5 M $624 M -$3.38 M $10.85 164
2016 Q1 57.3 M $672 M -$3.24 M $11.72 175
2015 Q4 57.2 M $932 M +$1.53 M $16.30 177
2015 Q3 56.3 M $718 M +$2.04 M $12.76 157
2015 Q2 53.9 M $843 M +$15 M $15.68 153
2015 Q1 53.8 M $743 M +$102 M $13.82 137
2014 Q4 46.9 M $526 M +$11.2 M $11.20 113
2014 Q3 46.4 M $365 M -$21.5 M $7.88 112
2014 Q2 46.7 M $613 M +$10.5 M $13.13 129
2014 Q1 46.3 M $481 M +$48.1 M $10.37 121