Manitex International, Inc. - COM (MNTX)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
10M
Holdings value Q2 2024
$44.3M
Value change Q2 2024
-$70K
Grand Portfolio weight change Q2 2024
0%
Number of holders
47
Number of buys Q2 2024
20
Number of sells Q2 2024
-25
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 10M $44.3M -$70K $4.43 47
2024 Q1 9.95M $68.3M +$2.45M $6.86 55
2023 Q4 9.32M $81.4M +$4.26M $8.74 53
2023 Q3 8.86M $41.4M +$350K $4.67 36
2023 Q2 8.78M $47.5M +$253K $5.44 35
2023 Q1 8.74M $45.6M +$432K $5.21 43
2022 Q4 8.69M $34.7M -$1.16M $4.00 46
2022 Q3 9.61M $55.1M +$307K $5.73 31
2022 Q2 9.57M $62.1M -$482K $6.49 35
2022 Q1 9.64M $70.2M +$2.13M $7.28 37
2021 Q4 9.35M $59.4M +$411K $6.36 36
2021 Q3 9.38M $67.3M -$2.24M $7.18 38
2021 Q2 9.67M $70.5M -$562K $7.29 38
2021 Q1 9.75M $77M -$180K $7.89 37
2020 Q4 9.79M $50.5M -$928K $5.16 39
2020 Q3 9.99M $41.7M -$150K $4.17 39
2020 Q2 10M $49.9M +$9.87K $4.97 40
2020 Q1 10.1M $41.5M +$393K $4.13 44
2019 Q4 9.91M $59M -$58.2K $5.95 46
2019 Q3 10.2M $67.7M +$5.5M $6.65 52
2019 Q2 9.55M $58.3M -$2.63M $6.11 53
2019 Q1 9.89M $75.6M +$154K $7.65 56
2018 Q4 9.95M $56.5M -$4.38M $5.68 61
2018 Q3 10.9M $115M -$1.42M $10.53 66
2018 Q2 11.1M $138M +$12.3M $12.48 70
2018 Q1 10M $115M +$254K $11.43 62
2017 Q4 10.1M $97M -$198K $9.60 57
2017 Q3 10M $90.2M +$1.03M $8.98 58
2017 Q2 10M $70.1M +$979K $6.98 52
2017 Q1 9.93M $66.5M +$1.84M $6.70 52
2016 Q4 9.69M $66.5M +$520K $6.86 57
2016 Q3 9.43M $52M +$2.65M $5.51 52
2016 Q2 8.57M $59.4M -$2.22M $6.93 45
2016 Q1 8.73M $45.7M -$272K $5.23 42
2015 Q4 8.76M $52.1M +$405K $5.95 49
2015 Q3 8.92M $50.1M -$1.64M $5.62 51
2015 Q2 8.96M $68.5M -$5.47M $7.64 62
2015 Q1 9.57M $93.2M -$2.97M $9.73 70
2014 Q4 9.53M $121M -$2.28M $12.71 75
2014 Q3 9.79M $110M -$3.06M $11.29 79
2014 Q2 9.2M $149M +$3.43M $16.24 87
2014 Q1 9.13M $149M +$4.07M $16.30 84