TORAY INDS - Common Stock (TRYIY)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / Common Stock
Shares, excl. options Q1 2024
310 K
Holdings value Q1 2024
$2.97 M
Value change Q1 2024
+$78.9 K
Grand Portfolio weight change Q1 2024
+0%
Number of holders
4
Number of buys Q1 2024
3
Number of sells Q1 2024
-2
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
890880206
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 310 K $2.97 M +$78.9 K $9.59 4
2023 Q4 302 K $3.11 M +$71.7 K $10.29 6
2023 Q3 294 K $3.05 M +$9.57 K $10.36 6
2023 Q2 293 K $3.25 M -$19.5 K $11.10 5
2023 Q1 295 K $3.36 M +$617 K $11.39 4
2022 Q4 241 K $2.7 M -$606 K $11.18 4
2022 Q3 295 K $2.9 M +$95.7 K $9.82 3
2022 Q2 286 K $3.19 M +$3.04 M $11.17 5
2022 Q1 13.9 K $147 K -$51 K $10.70 4
2021 Q4 18.2 K $215 K +$58.1 K $11.79 5
2021 Q3 376 $5 K +$785 $13.63 2
2021 Q2 323 $4 K -$18.5 M $12.32 2
2021 Q1 1.43 M $18.5 M -$256 K $12.50 3
2020 Q4 1.45 M $17.2 M +$1.71 M $11.89 3
2020 Q3 1.31 M $11.9 M +$3.47 M $9.13 3
2020 Q2 926 K $8.64 M -$10.8 M $9.21 4
2020 Q1 2.07 M $17.8 M +$344 K $8.55 4
2019 Q4 2.04 M $27.5 M -$1.28 M $13.38 8
2019 Q3 2.13 M $31.7 M +$9.9 M $14.74 8
2019 Q2 1.46 M $22.2 M +$4.25 M $15.15 8
2019 Q1 1.19 M $15.1 M -$2.04 M $12.79 8
2018 Q4 1.35 M $19 M -$1.33 M $13.74 8
2018 Q3 1.44 M $21.6 M -$17.9 M $14.99 8
2018 Q2 2.58 M $40.7 M -$6.23 M $15.77 14
2018 Q1 2.99 M $56.5 M +$2.71 M $18.87 15
2017 Q4 2.82 M $53.5 M +$18.5 M $18.87 11
2017 Q3 1.85 M $36.5 M -$3.24 M $19.39 6
2017 Q2 2.04 M $34.5 M +$542 K $16.77 5
2017 Q1 2.01 M $35.6 M +$4.47 M $17.73 6
2016 Q4 1.76 M $28.4 M +$2.32 M $16.18 6
2016 Q3 1.59 M $30.8 M +$4.77 M $19.45 8
2016 Q2 1.34 M $22.7 M +$123 K $16.90 9
2016 Q1 1.33 M $22.7 M +$1.02 M $16.94 8
2015 Q4 1.27 M $23.7 M +$20.7 M $18.69 9
2015 Q3 161 K $13.8 M +$6.9 M $85.98 6
2015 Q2 82.2 K $6.97 M +$209 K $84.47 4
2015 Q1 79.8 K $6.7 M +$1.04 M $83.89 4
2014 Q4 67.4 K $5.41 M +$1.21 M $80.46 4
2014 Q3 52.4 K $3.48 M +$355 K $66.11 3
2014 Q2 47.1 K $3.13 M -$166 K $65.96 4
2014 Q1 49.6 K $3.29 M -$56.8 K $66.30 4