Hamilton Beach Brands Holding Co - COM CL A (HBB)

Historical Holders from Q3 2017 to Q1 2025

Symbol
HBB on NYSE
CUSIP
40701T104
Type / Class
Equity / COM CL A
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
4.65M
Holdings value
$78.3M
% of all portfolios
0%
Grand Portfolio weight change
0%
Number of holders
79
Number of buys
36
Number of sells
-35
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Hamilton Beach Brands Holding Co - COM CL A (HBB)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 459K $8.93M +$385K $19.43 7
2024 Q4 4.65M $78.3M -$5.05M $16.83 79
2024 Q3 4.78M $145M +$373K $30.43 83
2024 Q2 4.8M $82.6M +$1.49M $17.19 74
2024 Q1 4.48M $109M +$9.29M $24.36 72
2023 Q4 4.06M $70.9M +$1.99M $17.49 58
2023 Q3 4.06M $50.4M -$713K $12.41 47
2023 Q2 4.14M $39.9M -$11.5M $9.66 46
2023 Q1 5.32M $54.4M +$6.83M $10.24 48
2022 Q4 4.64M $57.5M +$5.42M $12.39 45
2022 Q3 4.21M $49.1M -$1.32M $11.67 40
2022 Q2 4.31M $53.5M -$3.17M $12.41 48
2022 Q1 4.57M $52.5M -$1.8M $11.63 55
2021 Q4 4.6M $66.1M -$3.12M $14.36 55
2021 Q3 4.37M $68.5M -$5.52M $15.67 59
2021 Q2 4.62M $103M +$2.09M $22.27 70
2021 Q1 4.05M $73.5M -$5.42M $18.13 72
2020 Q4 4.71M $82.6M -$956K $17.51 72
2020 Q3 4.66M $90.5M +$2.66M $19.45 75
2020 Q2 3.83M $45.5M -$1.94M $11.90 63
2020 Q1 4.99M $47.4M -$3.48M $9.51 71
2019 Q4 5.18M $99M +$12.5M $19.10 81
2019 Q3 3.98M $64.4M -$3.86M $16.17 68
2019 Q2 4.72M $89.9M -$1.06M $19.05 71
2019 Q1 4.81M $103M -$9.02M $21.46 71
2018 Q4 5.22M $122M -$1.34M $23.46 70
2018 Q3 5.53M $121M -$1.77M $21.94 73
2018 Q2 5.54M $161M +$7.08M $29.05 79
2018 Q1 5.27M $112M +$7.79M $21.22 74
2017 Q4 4.86M $125M +$123M $25.69 73
2017 Q3 41.6K $1.37M +$1.37M $33.07 4