TAITRON COMPONENTS INC - CL A (TAIT)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / CL A
Shares, excl. options Q1 2024
1.17 M
Holdings value Q1 2024
$3.77 M
Value change Q1 2024
+$193 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
14
Number of buys Q1 2024
6
Number of sells Q1 2024
-6
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
874028103
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 1.17 M $3.77 M +$193 K $3.22 14
2023 Q4 1.09 M $3.82 M -$76.2 K $3.49 15
2023 Q3 928 K $3.28 M +$35.8 K $3.53 12
2023 Q2 918 K $3.81 M -$119 K $4.15 10
2023 Q1 946 K $3.4 M +$9.57 K $3.60 11
2022 Q4 946 K $3.27 M +$117 K $3.44 12
2022 Q3 910 K $3.51 M +$371 K $3.86 11
2022 Q2 813 K $2.96 M -$101 K $3.65 10
2022 Q1 842 K $3.27 M -$167 K $3.84 12
2021 Q4 885 K $3.56 M -$68.1 K $4.02 11
2021 Q3 901 K $3.45 M -$310 K $3.82 11
2021 Q2 944 K $4.68 M +$1.07 M $4.99 13
2021 Q1 734 K $3.01 M +$165 K $4.09 10
2020 Q4 662 K $2.15 M +$36.5 K $3.24 8
2020 Q3 650 K $1.56 M +$19.8 K $2.40 7
2020 Q2 642 K $1.68 M -$154 K $2.60 6
2020 Q1 682 K $1.52 M -$48.4 K $2.22 7
2019 Q4 726 K $2.06 M -$343 K $2.84 8
2019 Q3 847 K $2.4 M -$110 K $2.83 8
2019 Q2 883 K $2.82 M +$641 K $3.20 10
2019 Q1 693 K $1.82 M +$107 K $2.63 7
2018 Q4 653 K $1.13 M +$71.7 K $1.74 6
2018 Q3 612 K $1.22 M +$151 K $2.00 6
2018 Q2 536 K $905 K -$6.06 K $1.69 2
2018 Q1 551 K $836 K -$75.3 K $1.52 5
2017 Q4 597 K $1.01 M -$50.3 K $1.67 7
2017 Q3 628 K $988 K +$158 K $1.57 8
2017 Q2 566 K $919 K +$79.8 K $1.61 6
2017 Q1 520 K $619 K -$93.6 K $1.19 5
2016 Q4 600 K $719 K -$8.48 K $1.20 5
2016 Q3 607 K $696 K -$21.9 K $1.16 4
2016 Q2 625 K $649 K -$36 K $1.02 4
2016 Q1 663 K $611 K -$25.5 K $0.92 3
2015 Q4 689 K $675 K -$33.8 K $0.98 2
2015 Q3 723 K $716 K -$79.2 K $0.99 2
2015 Q2 803 K $784 K -$39.8 K $0.97 2
2015 Q1 844 K $843 K -$15.5 K $0.99 4
2014 Q4 859 K $859 K -$39.8 K $1.01 4
2014 Q3 903 K $934 K -$69.6 K $1.00 4
2014 Q2 969 K $979 K -$37.5 K $1.01 3
2014 Q1 1.01 M $1.06 M -$8.27 K $1.06 4