ICC Holdings, Inc. - Common Stock, par value $0.01 per share (ICCH)

Historical Holders from Q1 2017 to Q1 2025

Type / Class
Equity / Common Stock, par value $0.01 per share
Symbol
ICCH
Shares outstanding
3,140,305
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ICC Holdings, Inc. - Common Stock, par value $0.01 per share (ICCH) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q1 0 $0 -$15,111,770 0
2024 Q4 725,886 $16,894,516 +$1,813,635 2,328% 22
2024 Q3 543,071 $12,454,920 +$370,394 2,293.01% 16
2024 Q2 374,604 $8,470,562 -$3,766,565 2,263% 16
2024 Q1 610,937 $9,772,284 +$104,813 1,599.63% 10
2023 Q4 604,375 $9,254,487 +$159,101 1,530% 9
2023 Q3 624,665 $9,983,342 -$1,241,878 1,579.4% 8
2023 Q2 672,387 $10,689,061 -$145,627 1,583.49% 12
2023 Q1 678,825 $10,457,751 +$139,126 1,550.01% 10
2022 Q4 669,687 $10,493,563 +$53,211 1,565.37% 10
2022 Q3 666,305 $10,160,000 -$1,591,857 1,524.8% 9
2022 Q2 769,861 $12,324,000 -$412 1,600.61% 10
2022 Q1 769,887 $13,102,000 +$204,622 1,704.96% 10
2021 Q4 757,887 $12,736,000 +$145,499 1,675.16% 10
2021 Q3 749,242 $12,348,000 +$660,344 1,650.26% 11
2021 Q2 709,208 $11,343,000 +$262,427 1,600.9% 10
2021 Q1 562,912 $8,318,000 +$488,778 1,478.29% 9
2020 Q4 527,594 $7,538,000 +$271,348 1,430% 9
2020 Q3 508,644 $5,951,000 +$559,644 1,170.07% 8
2020 Q2 460,902 $5,096,000 +$234,727 1,114.26% 9
2020 Q1 439,744 $4,844,000 +$56,701 1,102.25% 10
2019 Q4 434,485 $6,111,000 +$299,049 1,408.21% 10
2019 Q3 413,277 $5,610,000 +$551,782 1,355.71% 11
2019 Q2 372,425 $5,161,000 +$347,744 1,385.87% 9
2019 Q1 347,318 $4,819,000 +$275,591 1,383.93% 8
2018 Q4 327,880 $4,472,000 -$102,091 1,365.49% 9
2018 Q3 333,389 $5,004,000 +$305,026 1,500.22% 10
2018 Q2 312,714 $4,938,000 +$210,905 1,597.62% 12
2018 Q1 299,367 $4,669,000 +$214,549 1,567.89% 11
2017 Q4 284,828 $4,627,000 +$157,529 1,626.67% 11
2017 Q3 275,098 $4,946,000 -$19,903 1,800% 9
2017 Q2 276,249 $4,782,000 +$2,136,816 1,730.9% 10
2017 Q1 154,105 $2,510,000 +$2,509,998 1,641.59% 7