Kearny Financial Corp. - COM (KRNY)

Historical Portfolio Holders from Q2 2015 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
40.2 M
Holdings value Q1 2024
$259 M
Value change Q1 2024
-$2.72 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
128
Number of buys Q1 2024
72
Number of sells Q1 2024
-53
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
48716P108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 40.2 M $259 M -$2.72 M $6.44 128
2023 Q4 40.6 M $364 M -$6.86 M $8.97 113
2023 Q3 41 M $284 M -$4.5 M $6.93 110
2023 Q2 42.2 M $298 M -$16.1 M $7.05 105
2023 Q1 44 M $357 M -$8.47 M $8.12 112
2022 Q4 45.3 M $460 M +$6.92 M $10.15 115
2022 Q3 44.5 M $473 M -$84.2 M $10.62 116
2022 Q2 45.4 M $504 M -$22.3 M $11.11 119
2022 Q1 47.6 M $613 M +$11.6 M $12.88 117
2021 Q4 46.7 M $618 M -$19.8 M $13.25 119
2021 Q3 47.9 M $596 M -$29.5 M $12.43 122
2021 Q2 50.3 M $601 M -$23.9 M $11.95 115
2021 Q1 52.3 M $632 M -$18.2 M $12.08 121
2020 Q4 54.5 M $575 M -$16.2 M $10.56 106
2020 Q3 56.8 M $410 M +$15.9 M $7.21 115
2020 Q2 55.3 M $453 M +$6.52 M $8.18 123
2020 Q1 54.5 M $468 M -$17.7 M $8.59 105
2019 Q4 55.7 M $771 M -$17.6 M $13.83 118
2019 Q3 56.8 M $741 M -$14.7 M $13.04 103
2019 Q2 57.2 M $761 M +$4.94 M $13.29 107
2019 Q1 58.4 M $751 M -$27.2 M $12.87 109
2018 Q4 60.5 M $775 M -$30.6 M $12.82 116
2018 Q3 64.3 M $891 M +$13.4 M $13.85 122
2018 Q2 63.3 M $851 M +$149 M $13.45 130
2018 Q1 52.8 M $686 M +$16 M $13.00 119
2017 Q4 51.4 M $743 M -$3.47 M $14.45 119
2017 Q3 51.5 M $791 M -$27.7 M $15.35 102
2017 Q2 53.4 M $792 M -$28.3 M $14.85 103
2017 Q1 55.3 M $832 M +$63.3 M $15.05 121
2016 Q4 56.5 M $879 M +$14.9 M $15.55 132
2016 Q3 55.6 M $757 M +$9.74 M $13.61 131
2016 Q2 56 M $704 M +$66 M $12.58 140
2016 Q1 50.7 M $626 M +$15.2 M $12.35 124
2015 Q4 49.2 M $623 M +$12.5 M $12.67 121
2015 Q3 48.6 M $558 M +$54.7 M $11.47 114
2015 Q2 43.1 M $481 M +$481 M $11.16 110