URBAN ONE, INC. - Common Stock (UONE)

Historical Holders from Q2 2017 to Q1 2025

Symbol
UONE on Nasdaq
CUSIP
91705J105
Type / Class
Equity / Common Stock
Shares outstanding
8.18M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
1.72M
Holdings value
$2.65M
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
26
Number of buys
11
Number of sells
-11
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of URBAN ONE, INC. - Common Stock (UONE)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
ZAZOVE ASSOCIATES LLC 9.2% $1.09M 753K ZAZOVE ASSOCIATES LLC Dec 31, 2024

Institutional Holders of URBAN ONE, INC. - Common Stock (UONE)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 6.25K $9K +$8.78K $1.44 2
2024 Q4 1.72M $2.65M +$79.5K $1.54 26
2024 Q3 1.67M $2.94M -$1.82M $1.76 22
2024 Q2 2.65M $5.28M -$1.41M $1.99 41
2024 Q1 3.23M $8.73M +$47.3K $2.70 40
2023 Q4 3.23M $13M +$91.7K $4.03 40
2023 Q3 3.14M $15.8M -$619K $5.02 41
2023 Q2 3.28M $19.6M +$50.1K $5.99 45
2023 Q1 3.23M $24.4M +$1.44M $7.55 41
2022 Q4 3.08M $14M -$40.2K $4.55 40
2022 Q3 3.12M $16.5M -$1.03M $5.29 35
2022 Q2 3.3M $18M +$11.1M $5.46 38
2022 Q1 1.24M $7.73M +$1.87M $6.25 23
2021 Q4 960K $4.46M +$1.55M $4.65 20
2021 Q3 545K $4.42M -$702K $8.12 21
2021 Q2 615K $5.33M +$1.98M $8.66 21
2021 Q1 482K $2.6M +$1.17M $5.38 15
2020 Q4 276K $1.16M +$358K $4.20 14
2020 Q3 174K $997K -$1.27M $5.72 10
2020 Q2 118K $2.39M +$471K $20.29 8
2020 Q1 113K $120K -$854 $1.06 2
2019 Q4 114K $230K -$8.33K $2.03 2
2019 Q3 118K $229K -$2.6K $1.94 3
2019 Q2 119K $251K -$1.36K $2.10 3
2019 Q1 120K $298K -$5.06K $2.48 3
2018 Q4 122K $255K -$1.63K $2.09 3
2018 Q3 123K $295K +$2.6K $2.42 3
2018 Q2 122K $296K -$28.9K $2.42 3
2018 Q1 136K $273K -$38.2K $2.02 4
2017 Q4 156K $290K +$40.8K $1.86 5
2017 Q3 134K $222K +$23.1K $1.65 4
2017 Q2 120K $270K +$270K $2.25 2