Kimball Electronics, Inc. - COM (KE)

Historical Portfolio Holders from Q4 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
18.4 M
Holdings value Q1 2024
$399 M
Value change Q1 2024
-$3.5 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
136
Number of buys Q1 2024
61
Number of sells Q1 2024
-76
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
49428J109
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 18.4 M $399 M -$3.5 M $21.65 136
2023 Q4 18.5 M $499 M +$22.6 M $26.95 155
2023 Q3 17.4 M $477 M +$10.4 M $27.38 147
2023 Q2 16.8 M $465 M +$793 K $27.63 146
2023 Q1 16.9 M $406 M +$10.7 M $24.10 150
2022 Q4 16.9 M $382 M +$10.4 M $22.59 134
2022 Q3 16.3 M $280 M -$7.57 M $17.15 116
2022 Q2 16.8 M $337 M -$5.88 M $20.10 116
2022 Q1 17 M $339 M +$562 K $19.99 121
2021 Q4 17.2 M $373 M +$13.2 M $21.76 136
2021 Q3 16 M $412 M +$19.3 M $25.77 136
2021 Q2 15.7 M $342 M +$1.67 M $21.74 130
2021 Q1 15.3 M $394 M +$10.9 M $25.80 138
2020 Q4 13.9 M $223 M +$2.16 M $15.99 117
2020 Q3 15.2 M $176 M -$1.46 M $11.56 117
2020 Q2 15.3 M $207 M +$734 K $13.54 121
2020 Q1 14 M $154 M -$2.13 M $10.92 107
2019 Q4 15.3 M $269 M -$1.68 M $17.55 117
2019 Q3 15.4 M $224 M -$3.39 M $14.51 109
2019 Q2 15.4 M $251 M +$5.25 M $16.24 116
2019 Q1 15.4 M $238 M +$7.12 M $15.49 116
2018 Q4 14.6 M $226 M -$14.1 M $15.49 110
2018 Q3 16 M $314 M -$3.19 M $19.65 109
2018 Q2 15.9 M $291 M +$1.83 M $18.30 108
2018 Q1 16.2 M $261 M +$5.87 M $16.15 114
2017 Q4 15.7 M $287 M -$4.45 M $18.25 114
2017 Q3 15.1 M $328 M -$3.61 M $21.65 114
2017 Q2 15.2 M $275 M +$8.67 M $18.05 109
2017 Q1 14.8 M $250 M +$30 M $16.95 107
2016 Q4 14.5 M $263 M -$127 K $18.20 110
2016 Q3 14.7 M $204 M -$7.86 M $13.86 96
2016 Q2 15.4 M $192 M +$7.38 M $12.45 101
2016 Q1 14.9 M $166 M -$2.94 M $11.17 99
2015 Q4 15.2 M $167 M -$4 M $10.99 96
2015 Q3 15.6 M $186 M +$3.79 M $11.93 97
2015 Q2 15 M $218 M +$17.1 M $14.59 97
2015 Q1 13.9 M $197 M +$9.19 M $14.14 84
2014 Q4 13.5 M $163 M +$159 M $12.02 92