HCI Group, Inc. - COM (HCI)

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
7.19 M
Holdings value Q1 2024
$834 M
Value change Q1 2024
+$73.7 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
185
Number of buys Q1 2024
118
Number of sells Q1 2024
-63
Average buys Q1 2024 %
+0.002%
Average sells Q1 2024 %
-0.001%
CUSIP
40416E103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 7.19 M $834 M +$73.7 M $116.08 185
2023 Q4 6.61 M $578 M +$121 M $87.40 147
2023 Q3 5.4 M $293 M -$15.2 M $54.29 118
2023 Q2 5.64 M $348 M -$1.57 M $61.78 111
2023 Q1 5.71 M $306 M -$9.11 M $53.60 113
2022 Q4 5.9 M $234 M -$14 M $39.59 103
2022 Q3 6.3 M $247 M -$17.6 M $39.20 113
2022 Q2 6.43 M $436 M +$2.99 M $67.76 126
2022 Q1 6.42 M $438 M +$27 M $68.18 128
2021 Q4 6.06 M $506 M +$17.2 M $83.54 147
2021 Q3 5.45 M $604 M +$29.9 M $110.77 153
2021 Q2 5.28 M $525 M +$17.6 M $99.43 152
2021 Q1 5.09 M $391 M +$44.5 M $76.82 139
2020 Q4 4.53 M $237 M -$16.1 M $52.30 109
2020 Q3 4.86 M $239 M +$2.22 M $49.29 118
2020 Q2 4.89 M $226 M +$14.5 M $46.18 112
2020 Q1 4.58 M $184 M -$9.49 M $40.25 104
2019 Q4 4.77 M $218 M -$6.32 M $45.65 104
2019 Q3 4.91 M $207 M -$3.98 M $42.04 110
2019 Q2 5.01 M $203 M -$6.24 M $40.47 102
2019 Q1 5.22 M $223 M -$15 M $42.73 114
2018 Q4 5.5 M $279 M -$33.9 M $50.81 124
2018 Q3 6.2 M $271 M -$5.64 M $43.75 100
2018 Q2 6.35 M $264 M -$7.05 M $41.57 110
2018 Q1 6.52 M $249 M -$4.46 M $38.16 105
2017 Q4 6.66 M $199 M -$27.6 M $29.90 111
2017 Q3 7.41 M $283 M +$12.1 M $38.25 116
2017 Q2 7.08 M $333 M +$5.98 M $46.98 123
2017 Q1 6.97 M $317 M +$47.7 M $45.58 119
2016 Q4 6.97 M $274 M +$8.31 M $39.48 112
2016 Q3 6.72 M $204 M -$4.65 M $30.36 99
2016 Q2 6.9 M $188 M -$32.5 M $27.28 110
2016 Q1 7.82 M $260 M -$15.3 M $33.30 120
2015 Q4 8.16 M $284 M +$24.5 M $34.85 129
2015 Q3 7.54 M $292 M +$10.5 M $38.77 122
2015 Q2 7.38 M $326 M -$5.39 M $44.21 132
2015 Q1 7.54 M $345 M +$28.4 M $45.87 134
2014 Q4 6.88 M $298 M +$42.7 M $43.24 129
2014 Q3 6.18 M $223 M -$3.69 M $35.99 118
2014 Q2 6.22 M $253 M -$8.71 M $40.60 129
2014 Q1 6.48 M $236 M -$31 M $36.40 122