Himax Technologies, Inc. - SPONSORED ADR (HIMX)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / SPONSORED ADR
Shares, excl. options Q1 2024
21 M
Holdings value Q1 2024
$113 M
Value change Q1 2024
-$5.37 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
122
Number of buys Q1 2024
58
Number of sells Q1 2024
-70
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
43289P106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 21 M $113 M -$5.37 M $5.35 122
2023 Q4 21.8 M $133 M +$6.11 M $6.07 127
2023 Q3 21 M $122 M -$41.7 M $5.84 121
2023 Q2 27.3 M $185 M -$4.8 M $6.75 116
2023 Q1 26.6 M $216 M -$7.7 M $8.13 121
2022 Q4 28 M $174 M +$513 K $6.21 132
2022 Q3 27.8 M $134 M -$10.9 M $4.84 111
2022 Q2 29.5 M $221 M -$56.3 M $7.48 119
2022 Q1 36.4 M $396 M -$137 M $10.86 134
2021 Q4 46.6 M $742 M +$13.7 M $15.99 142
2021 Q3 46.1 M $492 M +$49.6 M $10.67 148
2021 Q2 39.8 M $664 M +$141 M $16.66 152
2021 Q1 31.5 M $430 M +$85.9 M $13.65 122
2020 Q4 26 M $192 M +$35 M $7.39 95
2020 Q3 21.6 M $77.1 M -$25.9 K $3.56 74
2020 Q2 21.6 M $89.2 M +$14.8 M $4.14 77
2020 Q1 18.3 M $50.3 M +$15 M $2.74 76
2019 Q4 13 M $34.6 M +$4 M $2.66 62
2019 Q3 11.5 M $26.1 M -$12.3 M $2.27 58
2019 Q2 15.4 M $53.5 M -$3.11 M $3.48 84
2019 Q1 16.4 M $52.4 M -$11.2 M $3.19 83
2018 Q4 19.8 M $67.8 M -$1.27 M $3.43 89
2018 Q3 33.4 M $197 M -$39.9 M $5.88 98
2018 Q2 39 M $291 M -$9.45 M $7.46 100
2018 Q1 42 M $258 M -$110 M $6.16 99
2017 Q4 56.2 M $586 M +$94.5 M $10.42 119
2017 Q3 46.1 M $503 M +$93.5 M $10.93 116
2017 Q2 37.6 M $308 M -$5.63 M $8.20 91
2017 Q1 38.9 M $355 M +$11.8 M $9.12 101
2016 Q4 39 M $235 M -$215 M $6.04 98
2016 Q3 67.4 M $579 M +$67.4 M $8.59 125
2016 Q2 60.4 M $499 M +$83.1 M $8.26 125
2016 Q1 48.2 M $542 M +$89.6 M $11.24 119
2015 Q4 41.1 M $337 M +$27.8 M $8.20 93
2015 Q3 37.2 M $296 M +$71 M $7.97 79
2015 Q2 28.2 M $226 M +$69.1 M $8.03 86
2015 Q1 18.8 M $119 M -$35.7 M $6.33 76
2014 Q4 23.6 M $191 M -$7.05 M $8.06 95
2014 Q3 22.6 M $230 M +$36.2 M $10.15 107
2014 Q2 19.8 M $136 M -$206 M $6.86 87
2014 Q1 37.5 M $432 M -$70.1 M $11.52 129