UTAH MEDICAL PRODUCTS INC - COM (UTMD)

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
2.38 M
Holdings value Q1 2024
$170 M
Value change Q1 2024
-$9.39 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
97
Number of buys Q1 2024
53
Number of sells Q1 2024
-40
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
917488108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 2.38 M $170 M -$9.39 M $71.11 97
2023 Q4 2.5 M $210 M -$5.58 M $84.22 85
2023 Q3 2.57 M $221 M +$1.88 M $86.00 89
2023 Q2 2.55 M $237 M +$493 K $93.20 87
2023 Q1 2.54 M $241 M +$8.53 M $94.77 83
2022 Q4 2.54 M $256 M +$1.19 M $100.53 78
2022 Q3 2.53 M $216 M -$31.3 M $85.31 73
2022 Q2 2.55 M $219 M -$1.11 M $85.90 71
2022 Q1 2.57 M $231 M -$2.18 M $89.86 79
2021 Q4 2.51 M $251 M -$298 K $100.00 74
2021 Q3 2.6 M $241 M +$234 K $92.83 69
2021 Q2 2.6 M $221 M -$2.72 M $85.04 65
2021 Q1 2.63 M $228 M +$450 K $86.60 76
2020 Q4 2.43 M $205 M -$3.58 M $84.30 73
2020 Q3 2.48 M $198 M -$2.81 M $79.87 79
2020 Q2 2.68 M $238 M +$3.96 M $88.62 89
2020 Q1 2.63 M $247 M -$14.1 M $94.05 85
2019 Q4 2.77 M $299 M -$7.83 M $107.90 92
2019 Q3 2.84 M $273 M +$7.81 M $95.84 90
2019 Q2 2.69 M $258 M +$3.43 M $95.70 92
2019 Q1 2.67 M $235 M +$167 K $88.25 85
2018 Q4 2.68 M $222 M -$3.35 M $83.08 81
2018 Q3 2.79 M $263 M +$18.7 M $94.20 87
2018 Q2 2.59 M $285 M +$1.05 M $110.15 89
2018 Q1 2.59 M $256 M +$9.12 M $98.85 77
2017 Q4 2.5 M $203 M +$2.19 M $81.40 77
2017 Q3 2.46 M $181 M +$282 K $73.55 72
2017 Q2 2.48 M $179 M +$4.87 M $72.40 74
2017 Q1 2.42 M $151 M +$6.33 M $62.30 75
2016 Q4 2.48 M $180 M -$463 K $72.75 75
2016 Q3 2.5 M $150 M -$1.27 M $59.80 78
2016 Q2 2.52 M $159 M -$2.05 M $63.00 75
2016 Q1 2.56 M $160 M +$3.08 M $62.54 68
2015 Q4 2.5 M $147 M +$2.33 M $58.54 63
2015 Q3 2.47 M $133 M -$505 K $53.87 58
2015 Q2 2.42 M $144 M +$3.68 M $59.63 62
2015 Q1 2.41 M $144 M -$2.25 M $59.86 58
2014 Q4 2.47 M $148 M -$16.2 K $60.05 59
2014 Q3 2.21 M $108 M -$11.7 M $48.76 60
2014 Q2 2.43 M $125 M +$1.47 M $51.44 60
2014 Q1 2.4 M $139 M +$3.54 M $57.83 58