NN INC - COM (NNBR)

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
33.6M
Holdings value Q2 2024
$101M
Value change Q2 2024
+$4.24M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
70
Number of buys Q2 2024
46
Number of sells Q2 2024
-37
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 33.6M $101M +$4.24M $3.00 70
2024 Q1 30.8M $146M +$13.1M $4.74 73
2023 Q4 26.3M $105M +$4.05M $4.00 55
2023 Q3 25.5M $47.5M +$1.25M $1.86 51
2023 Q2 24.7M $59.1M -$2.41M $2.39 53
2023 Q1 28.3M $30.3M -$2.84M $1.07 45
2022 Q4 30.6M $45.9M -$3.5M $1.50 47
2022 Q3 32.8M $56.1M -$3.26M $1.71 48
2022 Q2 34.2M $86.3M -$4.5M $2.53 70
2022 Q1 33.4M $96.2M -$1.42M $2.88 74
2021 Q4 35.9M $147M -$4.67M $4.10 76
2021 Q3 34.4M $180M -$4.16M $5.25 77
2021 Q2 36.5M $268M -$6.9M $7.35 92
2021 Q1 37.5M $265M +$966K $7.07 87
2020 Q4 36.4M $239M -$1.02M $6.57 84
2020 Q3 30M $155M -$2.91M $5.16 82
2020 Q2 31.4M $149M +$7.7M $4.74 76
2020 Q1 33.5M $57.9M -$8.13M $1.73 82
2019 Q4 38.2M $353M -$7.62M $9.25 91
2019 Q3 36.4M $260M -$12.4M $7.13 79
2019 Q2 39.9M $389M -$17.6M $9.76 89
2019 Q1 42.2M $316M +$1.27M $7.49 96
2018 Q4 42M $282M -$35.6M $6.71 95
2018 Q3 39.9M $616M +$190M $15.60 112
2018 Q2 24M $454M +$3.87M $18.90 94
2018 Q1 24.5M $587M +$16.1M $24.00 93
2017 Q4 26.2M $723M +$654K $27.60 98
2017 Q3 26.3M $764M +$21.5M $29.00 101
2017 Q2 23.5M $644M -$25.5M $27.45 120
2017 Q1 26.4M $665M +$43.6M $25.20 102
2016 Q4 26.7M $508M +$1.35M $19.05 109
2016 Q3 26.5M $484M -$1.43M $18.25 109
2016 Q2 26.9M $377M +$4.06M $13.99 107
2016 Q1 26.3M $360M -$9.08M $13.68 101
2015 Q4 25.7M $410M -$18.1M $15.94 111
2015 Q3 26.9M $497M -$1.53M $18.50 119
2015 Q2 26.2M $667M +$188M $25.52 119
2015 Q1 18.6M $465M +$83M $25.08 108
2014 Q4 15.4M $317M +$5.71M $20.56 112
2014 Q3 14.9M $398M +$10.3M $26.72 120
2014 Q2 14.5M $371M +$14.4M $25.58 123
2014 Q1 14.1M $277M +$6.25M $19.70 112