NETLIST INC - COM (NLST)

Historical Holders from Q1 2014 to Q3 2025

Symbol
NLST on OTC
CUSIP
64118P109
Type / Class
Equity / COM
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
31.4K
Holdings value
$29.3K
% 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 NETLIST INC - COM (NLST)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 31.4K $29.3K +$943 $0.93 2
2025 Q2 30.4K $21.7K +$7.7K $0.71 2
2025 Q1 19.5K $19K $0.97 1
2024 Q4 19.5K $16K $0.82 1
2024 Q3 19.5K $22K -$437K $1.13 1
2024 Q2 345K $463K +$436K $1.34 2
2024 Q1 20.2K $33K $0 $1.57 2
2023 Q4 670 $1K $0 $1.49 1
2023 Q3 670 $1K -$38.5K $1.49 1
2023 Q2 27K $95.5K +$47.4K $3.55 3
2023 Q1 13.8K $51K +$48K $3.69 3
2022 Q4 670 $1K $0 $1.49 1
2022 Q3 670 $2K -$19K $2.99 1
2022 Q2 6.85K $21K +$21K $2.96 2
2022 Q1 98.6K $26K -$9K $0.26 1
2021 Q4 100K $646K +$9K $6.39 2
2021 Q3 98.6K $554K +$17.9K $5.62 1
2021 Q2 95.4K $361K +$4.42K $3.78 1
2021 Q1 94.2K $165K +$2.58K $1.75 1
2020 Q4 92.8K $56K +$2.11K $0.60 1
2020 Q3 89.3K $59K +$30.6K $0.66 1
2020 Q2 43K $23K +$13.9K $0.53 1
2020 Q1 26.7K $8K +$8K $0.30 1
2019 Q4 2.05K $1K +$1K $0.49 1
2018 Q4 0 $0 -$21K 0
2018 Q3 47.1K $21K -$1.37M $0.45 1
2018 Q2 7.83M $1.38M -$471K $0.18 18
2018 Q1 10.4M $2.41M -$102K $0.23 18
2017 Q4 10.5M $3.23M -$3.04M $0.31 16
2017 Q3 14.5M $10.7M +$1.64M $0.74 26
2017 Q2 12.3M $12.5M -$33.5K $1.02 23
2017 Q1 13.9M $13.8M -$394K $0.99 25
2016 Q4 14.4M $14.7M -$193K $1.02 24
2016 Q3 14.1M $17.5M +$6.82M $1.24 30
2016 Q2 8.64M $10.1M +$960K $1.17 22
2016 Q1 7.79M $10.7M +$1.33M $1.37 18
2015 Q4 6.82M $6.01M +$165K $0.88 20
2015 Q3 6.7M $2.82M -$449K $0.42 15
2015 Q2 7.49M $4.15M -$666K $0.55 20
2015 Q1 8.65M $5.02M +$2.48M $0.58 25
2014 Q4 4.18M $3.07M -$890K $0.74 20
2014 Q3 5.16M $6.14M -$928K $1.19 25
2014 Q2 5.8M $7.48M -$4.7M $1.29 30
2014 Q1 8.59M $16.3M +$12.3M $1.90 34