Vericel Corp - COM (VCEL)

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
50.2 M
Holdings value Q1 2024
$2.61 B
Value change Q1 2024
-$15.9 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
244
Number of buys Q1 2024
122
Number of sells Q1 2024
-105
Average buys Q1 2024 %
+0.001%
Average sells Q1 2024 %
-0.001%
CUSIP
92346J108
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 50.2 M $2.61 B -$15.9 M $52.02 244
2023 Q4 50.4 M $1.8 B +$13.5 M $35.61 220
2023 Q3 51.4 M $1.72 B +$39.2 M $33.52 206
2023 Q2 49.9 M $1.88 B -$9.05 M $37.57 189
2023 Q1 50.1 M $1.47 B +$12.8 M $29.32 195
2022 Q4 50 M $1.32 B -$41 M $26.34 171
2022 Q3 49.3 M $1.14 B -$11.8 M $23.20 162
2022 Q2 53 M $1.34 B +$11.9 M $25.18 167
2022 Q1 52.5 M $2.01 B +$23.6 M $38.22 185
2021 Q4 51.5 M $2.02 B +$33.6 M $39.30 177
2021 Q3 50.6 M $2.47 B +$93.2 M $48.80 198
2021 Q2 48.4 M $2.54 B +$130 M $52.50 202
2021 Q1 49.3 M $2.74 B +$340 M $55.55 197
2020 Q4 45.3 M $1.4 B +$78.4 M $30.88 164
2020 Q3 42.3 M $784 M -$4.7 M $18.53 136
2020 Q2 41.1 M $569 M +$46 M $13.82 128
2020 Q1 39.8 M $365 M -$28.7 M $9.17 128
2019 Q4 38.1 M $663 M +$1.08 M $17.40 143
2019 Q3 38.6 M $585 M -$7.99 M $15.14 125
2019 Q2 39 M $737 M +$57.4 M $18.89 127
2019 Q1 37.3 M $652 M +$17.8 M $17.51 158
2018 Q4 36.4 M $633 M +$37.8 M $17.40 143
2018 Q3 34.5 M $488 M +$33.5 M $14.15 123
2018 Q2 32.7 M $317 M +$116 M $9.70 120
2018 Q1 20.1 M $200 M +$66.1 M $9.95 77
2017 Q4 13.4 M $73.2 M +$9.72 M $5.45 43
2017 Q3 11.6 M $69.3 M +$3.48 M $6.00 33
2017 Q2 10.4 M $34.2 M +$240 K $3.30 26
2017 Q1 10.5 M $29.3 M +$5.88 M $2.80 35
2016 Q4 9.45 M $28.3 M +$5.29 M $3.00 40
2016 Q3 7.79 M $21.8 M -$8.42 M $2.80 34
2016 Q2 10.9 M $24.5 M -$14.9 M $2.25 40
2016 Q1 13.1 M $76.7 M +$8.19 M $5.86 39
2015 Q4 11.7 M $30.2 M -$653 K $2.58 26
2015 Q3 10.6 M $28.7 M -$542 K $2.71 26
2015 Q2 10.8 M $38.4 M -$254 K $3.57 29
2015 Q1 10.8 M $40 M +$837 K $3.70 26
2014 Q4 10.6 M $32.2 M +$28.2 M $3.04 23