EMCORE CORP - COM NEW (EMKR)

Historical Holders from Q1 2014 to Q4 2024

Symbol
EMKR on Nasdaq
CUSIP
290846203
Type / Class
Equity / COM NEW
All holders as of December 31, 2024
Q4 2024
13F shares, excl. options
70
Holdings value
$31.8K
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
1
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 EMCORE CORP - COM NEW (EMKR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q4 70 $31.8K +$31.8K $453.90 1
2024 Q2 0 $0 -$12M 0
2024 Q1 30.6M $10.6M -$2.48M $0.35 41
2023 Q4 34.1M $16.6M -$1.22M $0.49 61
2023 Q3 36.6M $17.4M +$5.72M $0.48 62
2023 Q2 23.6M $17.8M -$3.2M $0.75 60
2023 Q1 27.5M $31.6M +$9.31M $1.15 65
2022 Q4 19.6M $18.8M -$5.86M $0.96 64
2022 Q3 18.8M $31.4M -$5.14M $1.67 70
2022 Q2 22.6M $69.5M -$9.4M $3.07 76
2022 Q1 25.6M $94.7M -$11.4M $3.70 94
2021 Q4 26.6M $186M -$14.3M $6.98 106
2021 Q3 27.4M $205M +$4.46M $7.48 100
2021 Q2 26.8M $247M +$49M $9.22 108
2021 Q1 23.3M $127M +$31.6M $5.46 80
2020 Q4 17.6M $95.7M -$485K $5.45 65
2020 Q3 16.1M $52.2M -$649K $3.25 45
2020 Q2 16.4M $52M +$145K $3.18 54
2020 Q1 16.3M $36.6M -$57.1K $2.24 49
2019 Q4 15.8M $48M +$1.85M $3.04 53
2019 Q3 15.3M $47M -$2.69M $3.07 49
2019 Q2 15.3M $50.5M -$10.6M $3.29 56
2019 Q1 16.8M $61.2M -$2.91M $3.65 62
2018 Q4 17.3M $72.8M -$6.6M $4.20 53
2018 Q3 17.7M $83.9M -$8.15M $4.75 61
2018 Q2 19.3M $97.7M -$9.1M $5.05 63
2018 Q1 21M $120M -$3.4M $5.70 75
2017 Q4 21.4M $138M -$2.72M $6.45 81
2017 Q3 20.9M $171M +$1.52M $8.20 88
2017 Q2 20.4M $218M +$6.23M $10.65 97
2017 Q1 19.8M $178M +$17.1M $9.00 99
2016 Q4 19.3M $168M +$19.1M $8.70 98
2016 Q3 17M $96.9M +$5.49M $5.70 78
2016 Q2 16M $95.3M -$4.17M $5.94 78
2016 Q1 16.7M $83.3M +$1.15M $5.00 82
2015 Q4 20.3M $124M +$2.64M $6.13 95
2015 Q3 20.1M $136M +$6.23M $6.80 93
2015 Q2 19.3M $116M -$6.43M $6.02 85
2015 Q1 20.7M $112M +$6.59M $5.44 60
2014 Q4 19.5M $103M -$1.28M $5.30 60
2014 Q3 18.2M $103M +$14.9M $5.69 52
2014 Q2 15.8M $65.1M -$1.46M $4.12 48
2014 Q1 15.9M $80.4M +$2.27M $5.05 56