IMAX CORP - COM (IMAX)

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
39.6 M
Holdings value Q1 2024
$639 M
Value change Q1 2024
-$5.43 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
157
Number of buys Q1 2024
75
Number of sells Q1 2024
-92
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.001%
CUSIP
45245E109
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 39.6 M $639 M -$5.43 M $16.17 157
2023 Q4 40.1 M $602 M -$34 M $15.02 168
2023 Q3 42 M $812 M +$28.8 M $19.32 152
2023 Q2 40.5 M $689 M -$22.3 M $16.99 152
2023 Q1 42 M $805 M -$2.57 M $19.18 136
2022 Q4 42.2 M $619 M -$12.1 M $14.66 141
2022 Q3 35.2 M $497 M -$30.6 M $14.12 130
2022 Q2 42.3 M $714 M -$27.1 M $16.89 143
2022 Q1 43.8 M $829 M +$24.3 M $18.93 142
2021 Q4 43.6 M $777 M -$15.9 M $17.84 143
2021 Q3 44.3 M $841 M +$813 K $18.98 128
2021 Q2 43.9 M $944 M +$12.9 M $21.50 154
2021 Q1 43.5 M $875 M +$47.8 M $20.10 150
2020 Q4 41.1 M $741 M +$58 M $18.02 122
2020 Q3 37.8 M $452 M -$34.3 M $11.96 124
2020 Q2 40.6 M $462 M -$27.1 M $11.21 140
2020 Q1 43.4 M $393 M -$130 M $9.05 135
2019 Q4 49.2 M $1.01 B +$4.02 M $20.43 142
2019 Q3 48.7 M $1.07 B +$16 M $21.95 147
2019 Q2 47.9 M $967 M +$70.7 M $20.20 130
2019 Q1 48.6 M $1.1 B +$4.28 M $22.68 145
2018 Q4 48 M $902 M -$26.6 M $18.81 130
2018 Q3 48.9 M $1.26 B -$91.2 M $25.80 141
2018 Q2 53 M $1.17 B +$25.3 M $22.15 132
2018 Q1 53 M $1.02 B -$95.2 M $19.20 144
2017 Q4 53.4 M $1.24 B -$15.5 M $23.15 153
2017 Q3 53.9 M $1.22 B -$7.27 M $22.65 140
2017 Q2 54.3 M $1.19 B -$93.1 M $22.00 169
2017 Q1 55.5 M $1.89 B -$40.6 M $34.00 179
2016 Q4 59.7 M $1.88 B +$97.3 M $31.40 180
2016 Q3 57.4 M $1.66 B +$108 M $28.97 187
2016 Q2 55 M $1.62 B -$42.2 M $29.48 194
2016 Q1 57.7 M $1.8 B -$63.1 M $31.09 204
2015 Q4 59.4 M $2.11 B -$57.8 M $35.54 202
2015 Q3 60.4 M $2.04 B +$106 M $33.79 183
2015 Q2 55.8 M $2.25 B +$33.8 M $40.27 196
2015 Q1 55.9 M $1.89 B -$71 M $33.71 165
2014 Q4 57.9 M $1.79 B +$7.78 M $30.90 141
2014 Q3 57.6 M $1.58 B -$27.3 M $27.46 131
2014 Q2 58.8 M $1.68 B +$31.8 M $28.48 139
2014 Q1 57.5 M $1.58 B +$9.49 M $27.33 139