TACTILE SYSTEMS TECHNOLOGY INC - COM (TCMD)

Historical Portfolio Holders from Q3 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
20 M
Holdings value Q1 2024
$325 M
Value change Q1 2024
+$8.99 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
131
Number of buys Q1 2024
63
Number of sells Q1 2024
-70
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
87357P100
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 20 M $325 M +$8.99 M $16.25 131
2023 Q4 19.6 M $280 M -$7.11 M $14.30 130
2023 Q3 20.3 M $286 M -$1.9 M $14.05 154
2023 Q2 19.7 M $490 M +$18.3 M $24.93 150
2023 Q1 18.9 M $311 M +$38.3 M $16.42 126
2022 Q4 16.8 M $193 M +$1.38 M $11.48 116
2022 Q3 14.7 M $115 M -$1.4 M $7.79 103
2022 Q2 15 M $109 M -$56.1 M $7.30 110
2022 Q1 18.4 M $371 M +$487 K $20.16 119
2021 Q4 16.4 M $312 M -$106 M $19.03 120
2021 Q3 19.1 M $848 M -$1.13 M $44.45 134
2021 Q2 19 M $989 M +$50.3 M $52.00 143
2021 Q1 19.2 M $1.05 B -$11.4 M $54.49 144
2020 Q4 19.4 M $872 M +$3.6 M $44.94 149
2020 Q3 19.2 M $704 M -$38.4 M $36.59 136
2020 Q2 20.3 M $842 M +$71 M $41.43 150
2020 Q1 18.5 M $744 M -$67.6 M $40.16 142
2019 Q4 18.7 M $1.26 B +$4.4 M $67.51 165
2019 Q3 18.7 M $792 M +$871 K $42.32 151
2019 Q2 18 M $1.02 B +$11 M $56.92 163
2019 Q1 18.7 M $987 M +$27.5 M $52.72 184
2018 Q4 18.1 M $826 M +$14.8 M $45.55 161
2018 Q3 17.7 M $1.25 B +$8.28 M $71.05 168
2018 Q2 17.5 M $910 M +$59.7 M $52.00 143
2018 Q1 16.7 M $530 M +$20.4 M $31.80 119
2017 Q4 16.1 M $468 M +$97.5 M $28.98 121
2017 Q3 12.7 M $392 M +$147 M $30.95 104
2017 Q2 8.05 M $230 M +$104 M $28.58 84
2017 Q1 4.51 M $85.7 M +$23.5 M $18.95 57
2016 Q4 3.54 M $58.2 M -$930 K $16.41 45
2016 Q3 3.6 M $67.4 M +$67.4 M $18.70 39