ENVIRI Corp - COM (NVRI)

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
74M
Holdings value Q2 2024
$638M
Value change Q2 2024
+$3.81M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
193
Number of buys Q2 2024
97
Number of sells Q2 2024
-75
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 74M $638M +$3.81M $8.63 194
2024 Q1 73.5M $672M -$6.79M $9.15 187
2023 Q4 72.6M $654M +$16M $9.00 182
2023 Q3 72.2M $521M -$10.8M $7.22 185
2023 Q2 73M $721M -$209K $9.87 183
2023 Q1 73.8M $504M +$4.81M $6.83 173
2022 Q4 73.1M $460M +$3.39M $6.29 170
2022 Q3 60M $224M -$13.3M $3.74 161
2022 Q2 73.4M $522M -$5.08M $7.11 172
2022 Q1 73.7M $902M -$54.9M $12.24 176
2021 Q4 75.7M $1.26B -$8.01M $16.71 178
2021 Q3 73.8M $1.25B +$30.1M $16.95 171
2021 Q2 73.2M $1.49B +$2.58M $20.42 167
2021 Q1 72.9M $1.25B +$5.57M $17.15 175
2020 Q4 73M $1.31B -$17.5M $17.98 171
2020 Q3 74.1M $1.03B +$8.09M $13.91 159
2020 Q2 70.7M $955M +$30.2M $13.51 170
2020 Q1 69.4M $484M -$118M $6.97 168
2019 Q4 72M $1.66B -$18.3M $23.01 212
2019 Q3 73.3M $1.39B +$21.2M $18.96 211
2019 Q2 70M $1.92B +$120M $27.44 233
2019 Q1 68.7M $1.39B +$28M $20.16 246
2018 Q4 66.4M $1.32B -$9.65M $19.86 252
2018 Q3 67.4M $1.92B +$19.9M $28.55 248
2018 Q2 67.1M $1.48B +$23M $22.10 248
2018 Q1 67.3M $1.39B +$4.83M $20.65 250
2017 Q4 66.4M $1.24B -$860K $18.65 232
2017 Q3 67.7M $1.41B +$22.6M $20.90 230
2017 Q2 65.5M $1.06B -$3.88M $16.10 211
2017 Q1 67.3M $861M +$131M $12.75 206
2016 Q4 66.1M $901M +$4.48M $13.60 211
2016 Q3 65.9M $654M +$19M $9.93 188
2016 Q2 65.2M $433M -$4.6M $6.64 187
2016 Q1 63.1M $344M -$33M $5.45 176
2015 Q4 68.7M $542M -$7.62M $7.88 188
2015 Q3 70.2M $637M +$12.9M $9.07 181
2015 Q2 66.3M $1.09B +$30.7M $16.50 185
2015 Q1 64M $1.1B -$9.54M $17.26 186
2014 Q4 66.7M $1.26B -$28.5M $18.89 198
2014 Q3 67.7M $1.45B +$19.9M $21.41 197
2014 Q2 66.5M $1.77B +$41.8M $26.63 223
2014 Q1 64.9M $1.52B +$10.9M $23.43 214