NOVAGOLD RESOURCES INC - COM NEW (NG)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q2 2024
189M
Holdings value Q2 2024
$657M
Value change Q2 2024
+$18.7M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
171
Number of buys Q2 2024
77
Number of sells Q2 2024
-72
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 189M $657M +$18.7M $3.46 172
2024 Q1 184M $552M -$23M $3.00 180
2023 Q4 186M $694M +$9.71M $3.74 167
2023 Q3 185M $710M -$1.47M $3.84 170
2023 Q2 184M $733M +$2.17M $3.99 173
2023 Q1 183M $1.14B -$5.13M $6.22 173
2022 Q4 168M $1.01B +$6.9M $5.98 176
2022 Q3 182M $854M +$31.5M $4.69 159
2022 Q2 175M $842M +$14.2M $4.81 171
2022 Q1 172M $1.33B +$36.1M $7.73 173
2021 Q4 168M $1.15B -$6.96M $6.86 170
2021 Q3 168M $1.16B -$840K $6.88 172
2021 Q2 168M $1.35B +$7.47M $8.01 180
2021 Q1 167M $1.46B +$11.7M $8.76 175
2020 Q4 163M $1.58B -$17.1M $9.67 173
2020 Q3 167M $1.99B +$161M $11.89 178
2020 Q2 144M $1.32B +$79.8M $9.18 195
2020 Q1 148M $1.09B -$141M $7.38 182
2019 Q4 154M $1.38B +$28.2M $8.96 178
2019 Q3 151M $917M +$24.6M $6.07 153
2019 Q2 153M $906M +$119M $5.91 145
2019 Q1 139M $578M -$2.13M $4.17 135
2018 Q4 139M $549M -$19.2M $3.95 133
2018 Q3 146M $542M -$10.9M $3.71 120
2018 Q2 146M $649M +$13.1M $4.45 123
2018 Q1 146M $631M +$38.2M $4.33 125
2017 Q4 138M $541M +$1.21M $3.93 128
2017 Q3 139M $572M -$8.53M $4.12 131
2017 Q2 141M $641M -$35.4M $4.56 130
2017 Q1 148M $723M +$5.17M $4.87 119
2016 Q4 148M $676M -$3.91M $4.56 124
2016 Q3 148M $826M -$20M $5.60 127
2016 Q2 151M $925M +$7.35M $6.12 126
2016 Q1 149M $751M +$44M $5.04 124
2015 Q4 142M $597M +$7.7M $4.21 111
2015 Q3 139M $502M +$5.69M $3.61 105
2015 Q2 140M $478M +$33.7M $3.42 116
2015 Q1 130M $384M +$3.24M $2.96 103
2014 Q4 128M $376M +$45.6M $2.95 92
2014 Q3 113M $342M +$838K $3.03 108
2014 Q2 113M $478M +$43.9M $4.21 121
2014 Q1 103M $372M +$3.57M $3.61 120