MIMEDX GROUP, INC. - COM (MDXG)

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
94.9M
Holdings value Q2 2024
$657M
Value change Q2 2024
+$9.98M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
202
Number of buys Q2 2024
97
Number of sells Q2 2024
-85
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 94.9M $657M +$9.98M $6.93 203
2024 Q1 93.3M $719M +$41.5M $7.70 202
2023 Q4 88.1M $772M +$284M $8.77 199
2023 Q3 56.4M $411M +$40.2M $7.29 184
2023 Q2 50.9M $337M -$33.2M $6.61 174
2023 Q1 68.3M $233M +$8.95M $3.41 159
2022 Q4 65.9M $183M +$4.8M $2.78 146
2022 Q3 63.1M $181M +$8.44M $2.87 133
2022 Q2 58.8M $204M -$3.22M $3.47 142
2022 Q1 61.3M $289M +$8.67M $4.71 144
2021 Q4 59.1M $357M +$3.11M $6.04 145
2021 Q3 54.1M $328M -$24.4M $6.06 140
2021 Q2 56.6M $708M +$126M $12.51 136
2021 Q1 47.3M $487M +$71.9M $10.30 111
2020 Q4 40.4M $368M +$326M $9.08 105
2020 Q3 4.48M $28.5M +$67.5K $6.35 20
2020 Q2 4.47M $24.2M -$283K $5.40 19
2020 Q1 4.1M $14.3M +$9.01M $3.49 19
2019 Q4 1.5M $11.3M -$14.8M $7.58 17
2019 Q3 4.51M $22.1M +$14.9M $4.90 18
2019 Q2 1.48M $6M -$400K $4.05 15
2019 Q1 1.58M $5.55M -$11.9M $3.51 16
2018 Q4 8.6M $15.4M -$436M $1.79 34
2018 Q3 76.5M $473M -$2.14M $6.18 180
2018 Q2 76.3M $488M -$55.3M $6.39 200
2018 Q1 85M $593M -$83.5M $6.97 211
2017 Q4 86.9M $1.1B +$125M $12.61 224
2017 Q3 76.8M $913M +$149M $11.88 223
2017 Q2 67.6M $1.01B +$117M $14.97 205
2017 Q1 59.8M $570M +$148M $9.53 168
2016 Q4 55.6M $492M +$15.7M $8.86 176
2016 Q3 56M $480M +$61.1M $8.58 175
2016 Q2 47.7M $381M +$25.6M $7.98 179
2016 Q1 45.6M $398M -$2.47M $8.74 186
2015 Q4 45.7M $428M -$46.3M $9.37 179
2015 Q3 49.7M $479M -$30.6M $9.65 175
2015 Q2 50.1M $581M +$99.7M $11.59 166
2015 Q1 43.1M $448M +$49.4M $10.40 140
2014 Q4 38.4M $443M +$19.5M $11.53 140
2014 Q3 39.3M $280M +$623K $7.13 122
2014 Q2 39.2M $277M +$41.8M $7.09 128
2014 Q1 33.5M $205M +$16.7M $6.13 105