ISTAR INC - COMMON STOCK (STAR)

Historical Holders from Q1 2014 to Q4 2024

Symbol
STAR
CUSIP
45031U101
Type / Class
Equity / COMMON STOCK
All holders as of December 31, 2024
Q4 2024
13F shares, excl. options
1
Holdings value
$8.00
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ISTAR INC - COMMON STOCK (STAR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q4 1 $8.00 $8.00 1
2024 Q3 1 $8.00 $0 $8.00 1
2024 Q2 1 $8.00 $0 $8.00 1
2024 Q1 1 $8.00 $0 $8.00 1
2023 Q4 1 $8.00 $0 $8.00 1
2023 Q3 1 $8.00 $0 $8.00 1
2023 Q2 1 $8.00 -$270K $8.00 1
2023 Q1 35.4K $270K -$561M $7.71 4
2022 Q4 75.4M $575M -$7.3M $7.63 192
2022 Q3 72.7M $673M +$5.69M $9.26 192
2022 Q2 72.4M $993M -$7.2M $13.71 190
2022 Q1 71.1M $1.66B +$38.3M $23.41 206
2021 Q4 68.8M $1.78B +$47.9M $25.83 201
2021 Q3 67.8M $1.7B +$12.2M $25.08 197
2021 Q2 67.1M $1.39B -$71.2M $20.73 173
2021 Q1 71.4M $1.27B +$68.5M $17.78 163
2020 Q4 68.4M $1.02B +$25.7M $14.85 159
2020 Q3 66.7M $788M -$38.8M $11.81 146
2020 Q2 70.5M $868M -$11.8M $12.32 157
2020 Q1 71.5M $759M +$27.2M $10.61 161
2019 Q4 69.2M $1B +$134M $14.51 162
2019 Q3 60M $783M +$38.1M $13.05 164
2019 Q2 56.9M $706M -$8.85M $12.42 136
2019 Q1 55.7M $469M -$18M $8.42 136
2018 Q4 58.3M $535M -$12.8M $9.17 140
2018 Q3 64.1M $716M +$78.5M $11.17 137
2018 Q2 56.9M $614M -$780K $10.79 141
2018 Q1 56.9M $579M -$23.7M $10.17 136
2017 Q4 59.6M $673M -$8.19M $11.30 147
2017 Q3 60.7M $716M +$698K $11.80 144
2017 Q2 60.4M $727M +$4.9M $12.04 138
2017 Q1 60.4M $713M +$64.4M $11.80 135
2016 Q4 61.5M $761M -$1.02M $12.37 146
2016 Q3 61.7M $662M -$25.3M $10.73 136
2016 Q2 64.2M $616M -$60M $9.59 122
2016 Q1 69.7M $673M -$78.9M $9.66 127
2015 Q4 77.1M $905M -$58.3M $11.73 136
2015 Q3 81.8M $1.03B -$202K $12.58 121
2015 Q2 80.8M $1.08B +$68M $13.32 137
2015 Q1 76.3M $993M +$27.4M $13.00 133
2014 Q4 73.2M $1B -$44.2M $13.65 131
2014 Q3 76.1M $1.03B +$96.3M $13.50 137
2014 Q2 68.8M $1.03B +$52.2M $14.98 138
2014 Q1 65.3M $963M -$870M $14.76 145