YORK WATER CO - COM (YORW)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
7.15M
Holdings value Q2 2024
$265M
Value change Q2 2024
-$641K
Grand Portfolio weight change Q2 2024
0%
Number of holders
139
Number of buys Q2 2024
69
Number of sells Q2 2024
-56
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 7.15M $265M -$641K $37.09 139
2024 Q1 7.19M $261M +$4.81M $36.27 135
2023 Q4 6.89M $266M +$5.81M $38.62 139
2023 Q3 7.05M $264M +$4.5M $37.49 133
2023 Q2 6.92M $286M +$151K $41.27 138
2023 Q1 6.9M $309M +$8.4M $44.70 142
2022 Q4 6.7M $301M +$8.38M $44.98 130
2022 Q3 6.54M $251M +$6.8M $38.43 124
2022 Q2 6.47M $261M +$43.9M $40.43 121
2022 Q1 5.41M $243M +$6.22M $44.97 125
2021 Q4 5.27M $262M +$630K $49.78 124
2021 Q3 5.27M $230M -$6.46M $43.68 119
2021 Q2 5.4M $245M -$5.41M $45.30 119
2021 Q1 5.5M $270M +$7.76M $48.97 119
2020 Q4 5.22M $243M +$608K $46.60 118
2020 Q3 5.3M $224M -$11M $42.27 125
2020 Q2 5.53M $265M +$8.18M $47.96 126
2020 Q1 5.38M $234M +$1.54M $43.46 126
2019 Q4 5.31M $245M +$9.2M $46.11 119
2019 Q3 5.06M $221M +$11.4M $43.66 111
2019 Q2 4.82M $172M +$5.3M $35.72 98
2019 Q1 4.71M $162M -$563K $34.32 90
2018 Q4 4.59M $147M +$3.9M $32.06 92
2018 Q3 4.49M $137M +$2.46M $30.40 95
2018 Q2 4.38M $139M +$3.98M $31.80 98
2018 Q1 4.26M $132M -$4.56M $31.00 96
2017 Q4 4.46M $151M +$3.9M $33.90 99
2017 Q3 4.32M $147M -$2.91M $33.90 95
2017 Q2 4.53M $158M +$3.1M $34.85 94
2017 Q1 4.44M $156M +$30.1M $35.05 94
2016 Q4 4.24M $162M +$10.1M $38.20 98
2016 Q3 3.98M $118M +$692K $29.66 92
2016 Q2 3.97M $127M +$3.09M $32.04 92
2016 Q1 3.9M $119M +$2.4M $30.52 86
2015 Q4 3.81M $95.1M -$157K $24.94 74
2015 Q3 3.84M $80.7M +$1.66M $21.02 78
2015 Q2 3.56M $74.2M -$1.6M $20.86 71
2015 Q1 3.84M $93.2M +$1.81M $24.28 75
2014 Q4 3.77M $87.4M +$3.53M $23.21 71
2014 Q3 3.65M $73M +$949K $20.00 74
2014 Q2 3.55M $73.8M -$733K $20.82 73
2014 Q1 3.58M $73.1M +$2.15M $20.40 73