Veritex Holdings, Inc. - COM (VBTX)

Historical Portfolio Holders from Q4 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
45.9 M
Holdings value Q1 2024
$941 M
Value change Q1 2024
-$15.6 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
204
Number of buys Q1 2024
92
Number of sells Q1 2024
-95
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
923451108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 45.9 M $941 M -$15.6 M $20.49 204
2023 Q4 47.2 M $1.1 B +$18.1 M $23.27 211
2023 Q3 46.9 M $843 M -$8.92 M $17.95 201
2023 Q2 47.4 M $850 M +$4.68 M $17.93 206
2023 Q1 47 M $859 M -$6.6 M $18.26 197
2022 Q4 46.1 M $1.29 B +$12.4 M $28.08 215
2022 Q3 45.1 M $1.2 B -$94.4 M $26.59 197
2022 Q2 46.6 M $1.36 B +$23.9 M $29.26 198
2022 Q1 45.9 M $1.75 B +$194 M $38.17 209
2021 Q4 41.4 M $1.65 B +$13.7 M $39.78 193
2021 Q3 41.1 M $1.62 B +$42.5 M $39.36 184
2021 Q2 40.6 M $1.44 B +$14 M $35.41 170
2021 Q1 40.9 M $1.34 B +$26.3 M $32.72 166
2020 Q4 40.3 M $1.03 B +$3.56 M $25.66 162
2020 Q3 40.5 M $689 M +$8.37 M $17.03 145
2020 Q2 40.2 M $711 M +$482 K $17.70 151
2020 Q1 40.2 M $562 M -$48.7 M $13.97 145
2019 Q4 42 M $1.22 B +$124 M $29.13 163
2019 Q3 40.9 M $992 M -$20 M $24.26 153
2019 Q2 41.8 M $1.08 B +$24.4 M $25.95 169
2019 Q1 40.8 M $987 M +$461 M $24.22 180
2018 Q4 21.3 M $456 M +$54.3 M $21.38 126
2018 Q3 18.3 M $518 M +$30.2 M $28.26 116
2018 Q2 17.7 M $551 M +$18.7 M $31.07 107
2018 Q1 17.2 M $470 M +$35.1 M $27.67 104
2017 Q4 15.9 M $438 M +$27.4 M $27.59 98
2017 Q3 14.9 M $401 M +$87 M $26.96 88
2017 Q2 11.6 M $307 M +$15.3 M $26.33 76
2017 Q1 11 M $310 M +$39.1 M $28.12 77
2016 Q4 9.99 M $267 M +$134 M $26.71 83
2016 Q3 4.95 M $86 M +$4.33 M $17.39 58
2016 Q2 4.44 M $71.1 M +$13.2 M $16.02 49
2016 Q1 3.63 M $52.8 M -$211 K $14.53 37
2015 Q4 3.58 M $58.1 M -$629 K $16.21 33
2015 Q3 3.64 M $57 M +$9.84 M $15.62 29
2015 Q2 3.02 M $45.1 M +$2.58 M $14.93 28
2015 Q1 2.85 M $39.8 M +$2.59 M $13.97 30
2014 Q4 2.66 M $37.8 M +$37.5 M $14.17 28