PETMED EXPRESS INC - COM (PETS)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
13.9 M
Holdings value Q1 2024
$66.8 M
Value change Q1 2024
-$7.65 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
107
Number of buys Q1 2024
46
Number of sells Q1 2024
-77
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
716382106
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 13.9 M $66.8 M -$7.65 M $4.79 107
2023 Q4 14.7 M $111 M +$10.7 M $7.56 126
2023 Q3 13.3 M $136 M -$32.5 M $10.25 136
2023 Q2 15.7 M $216 M -$24.3 M $13.79 148
2023 Q1 17.2 M $280 M +$9.01 M $16.24 159
2022 Q4 16.6 M $294 M +$3.88 M $17.70 155
2022 Q3 16.4 M $320 M -$22.2 M $19.52 158
2022 Q2 17.4 M $342 M +$6.99 M $19.90 155
2022 Q1 17 M $440 M +$3.5 M $25.80 166
2021 Q4 16.7 M $422 M +$9.02 M $25.26 169
2021 Q3 16.6 M $447 M -$30.5 M $26.87 184
2021 Q2 17.7 M $562 M +$37.3 M $31.85 190
2021 Q1 16.4 M $575 M -$41.9 M $35.17 198
2020 Q4 17.1 M $549 M -$10.4 M $32.06 199
2020 Q3 18.2 M $576 M -$9.33 M $31.62 193
2020 Q2 18.4 M $655 M +$63.1 M $35.64 212
2020 Q1 16.8 M $484 M -$16.3 M $28.78 190
2019 Q4 17.4 M $410 M -$8.7 M $23.52 177
2019 Q3 17.8 M $322 M -$34.9 M $18.02 162
2019 Q2 20.5 M $322 M -$47.8 K $15.67 171
2019 Q1 19.8 M $452 M -$29 M $22.78 192
2018 Q4 21.4 M $498 M +$27.2 M $23.26 190
2018 Q3 19.5 M $643 M -$4.94 M $33.01 188
2018 Q2 19.1 M $843 M -$21.1 M $44.05 201
2018 Q1 19.8 M $826 M +$37.4 M $41.75 202
2017 Q4 18.8 M $856 M -$67.1 M $45.50 192
2017 Q3 20.4 M $677 M +$131 M $33.15 179
2017 Q2 16.1 M $655 M +$49.5 M $40.60 172
2017 Q1 15.3 M $309 M +$51.5 M $20.14 149
2016 Q4 15 M $345 M +$4.19 M $23.07 149
2016 Q3 15.1 M $306 M -$6.57 M $20.28 150
2016 Q2 15.6 M $293 M -$19 M $18.76 155
2016 Q1 16.4 M $294 M -$7.51 M $17.91 152
2015 Q4 16.9 M $290 M -$12.7 M $17.14 151
2015 Q3 16.8 M $271 M +$18.9 M $16.10 145
2015 Q2 15.9 M $275 M +$23 M $17.27 142
2015 Q1 14.4 M $238 M +$11.7 M $16.52 135
2014 Q4 13.8 M $198 M +$7.49 M $14.37 114
2014 Q3 13.2 M $180 M -$1.21 M $13.60 120
2014 Q2 13.3 M $180 M -$7.01 M $13.48 125
2014 Q1 13.8 M $185 M -$16.2 M $13.41 128