HUDSON TECHNOLOGIES INC /NY - COM (HDSN)

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
31 M
Holdings value Q1 2024
$341 M
Value change Q1 2024
+$9.75 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
163
Number of buys Q1 2024
85
Number of sells Q1 2024
-58
Average buys Q1 2024 %
+0.003%
Average sells Q1 2024 %
-0.001%
CUSIP
444144109
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 31 M $341 M +$9.75 M $11.01 163
2023 Q4 30.1 M $406 M +$17.9 M $13.49 141
2023 Q3 29.1 M $387 M +$10.9 M $13.30 140
2023 Q2 28.9 M $278 M +$10.5 M $9.62 131
2023 Q1 27.9 M $244 M +$996 K $8.73 135
2022 Q4 27.9 M $282 M -$3.08 M $10.12 137
2022 Q3 28.4 M $209 M -$1.44 M $7.35 130
2022 Q2 27.9 M $209 M +$24.7 M $7.51 105
2022 Q1 25.3 M $157 M +$19.7 M $6.21 77
2021 Q4 22.3 M $99.1 M +$7.54 M $4.44 65
2021 Q3 18.5 M $65.3 M +$6.33 M $3.53 61
2021 Q2 16.7 M $56.9 M +$7.96 M $3.40 51
2021 Q1 14.8 M $23.9 M -$1.49 K $1.61 34
2020 Q4 14.9 M $16.2 M -$890 K $1.09 32
2020 Q3 15.7 M $18.1 M +$188 K $1.15 31
2020 Q2 15.6 M $15.8 M -$964 K $1.01 32
2020 Q1 16.5 M $11.4 M -$918 K $0.69 31
2019 Q4 17.6 M $17.2 M -$1.33 M $0.98 38
2019 Q3 18.9 M $13.4 M -$5.77 M $0.71 40
2019 Q2 25.7 M $22.1 M -$293 K $0.86 47
2019 Q1 26.4 M $51 M -$1.58 M $1.93 46
2018 Q4 27.3 M $24.3 M -$3.49 M $0.89 50
2018 Q3 30.4 M $38.9 M -$5.39 M $1.28 60
2018 Q2 32.7 M $65.6 M -$20.4 M $2.01 76
2018 Q1 33.5 M $165 M +$9.17 M $4.94 105
2017 Q4 32.2 M $196 M -$5.63 M $6.07 111
2017 Q3 31.9 M $249 M +$3.25 M $7.81 124
2017 Q2 31.5 M $266 M +$17.6 M $8.45 122
2017 Q1 29.9 M $198 M +$12.9 M $6.60 109
2016 Q4 28.2 M $225 M +$54.6 M $8.01 117
2016 Q3 21.2 M $141 M +$13.1 M $6.65 66
2016 Q2 19.3 M $69.4 M +$892 K $3.60 40
2016 Q1 19 M $62.4 M +$1.13 M $3.28 38
2015 Q4 18.7 M $55.4 M -$181 K $2.97 39
2015 Q3 18.7 M $55.6 M -$8.33 M $2.97 44
2015 Q2 17.6 M $61.4 M -$588 K $3.49 44
2015 Q1 18.3 M $76.5 M +$2.78 M $4.17 49
2014 Q4 17.7 M $66.6 M +$3.48 M $3.77 51
2014 Q3 16.8 M $55.6 M -$3.34 M $3.31 39
2014 Q2 17.8 M $51.3 M +$19.1 M $2.89 37
2014 Q1 11.2 M $31.4 M +$1.34 M $2.80 34