DENTSPLY INTL INC NEW - COM (XRAY)

Historical Holders from Q1 2014 to Q1 2025

Symbol
XRAY on Nasdaq
CUSIP
249030107
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
5.55K
Holdings value
$254K
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
2
Number of buys
1
Average Value change %
+0%
Average buys %
+0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of DENTSPLY INTL INC NEW - COM (XRAY)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 0 $0 -$254K 0
2024 Q4 5.55K $254K +$9.49K $33.74 2
2023 Q4 0 $0 -$399K 0
2023 Q3 11.7K $399K -$452K $34.16 1
2023 Q2 24.9K $997K +$997K $40.02 1
2023 Q1 0 $0 -$805K 0
2022 Q4 25.3K $805K +$805K $31.84 1
2022 Q3 0 $0 -$537K 0
2022 Q2 15K $537K -$1.07M $35.70 1
2022 Q1 45K $2.21M +$2.21M $49.23 1
2021 Q4 0 $0 -$2.86M 0
2021 Q3 49.3K $2.86M +$1.98M $58.06 1
2021 Q2 15.2K $962K -$362K $69.13 2
2021 Q1 20.9K $1.34M -$1.24M $69.41 2
2020 Q4 40.3K $2.11M +$184K $51.19 2
2020 Q3 38.8K $1.7M +$210K $43.76 3
2020 Q2 34K $1.5M -$17.7M $44.08 3
2020 Q1 435K $16.9M +$14.6M $38.82 5
2019 Q4 59.5K $3.37M -$5.83M $56.49 4
2019 Q3 167K $8.89M +$1.11M $53.30 5
2019 Q2 145K $8.48M +$20.4K $58.36 6
2019 Q1 145K $7.19M -$585K $49.59 5
2018 Q4 157K $5.84M -$519K $37.21 4
2018 Q3 170K $6.43M -$8.09M $37.74 8
2018 Q2 385K $16.8M -$9.06M $43.76 8
2018 Q1 579K $29.1M +$8.08M $50.31 6
2017 Q4 416K $27.4M +$429K $65.83 7
2017 Q3 407K $24.3M +$997K $59.80 8
2017 Q2 390K $25.3M +$2.52M $64.84 6
2017 Q1 353K $22M +$438K $62.44 7
2016 Q4 347K $20.1M -$2.74M $57.73 8
2016 Q3 393K $23.4M -$108M $59.43 12
2016 Q2 2.14M $133M -$28.7M $62.05 15
2016 Q1 2.09M $129M -$7.96B $61.63 24
2015 Q4 134M $8.13B +$330M $60.85 456
2015 Q3 129M $6.51B +$146M $50.57 429
2015 Q2 125M $6.43B -$45.2M $51.55 409
2015 Q1 127M $6.47B -$147M $50.89 414
2014 Q4 130M $6.93B +$5.73M $53.27 412
2014 Q3 130M $5.92B +$6.52M $45.60 399
2014 Q2 130M $6.15B +$701K $47.35 400
2014 Q1 129M $5.96B -$12.2M $46.04 401