OXBRIDGE RE HOLDINGS Ltd - *W EXP 03/26/202 (OXBRW)

Historical Holders from Q2 2014 to Q1 2025

Symbol
OXBRW on Nasdaq
CUSIP
G6856M114
Type / Class
Equity / *W EXP 03/26/202
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
787K
Holdings value
$378K
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
5
Number of buys
2
Number of sells
-2
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 OXBRIDGE RE HOLDINGS Ltd - *W EXP 03/26/202 (OXBRW)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 24K $9.12K $0.38 1
2024 Q4 787K $378K +$341K $0.48 5
2024 Q3 84K $11.5K -$1.34K $0.12 4
2024 Q2 89.4K $16.1K -$1.61K $0.18 4
2024 Q1 98.3K $4.03K +$1.07K $0.04 4
2023 Q4 24K $816 $0 $0.03 1
2023 Q3 71.5K $4.57K $0 $0.06 2
2023 Q2 71.5K $4.49K -$675 $0.06 2
2023 Q1 82.7K $5.12K +$675 $0.06 3
2022 Q4 47.5K $2K $0 $0.04 1
2022 Q3 71.5K $14K $0 $0.20 2
2022 Q2 71.5K $22K $0 $0.30 2
2022 Q1 71.5K $39K -$60K $0.54 2
2021 Q4 174K $102K +$37K $0.59 5
2021 Q3 47.5K $8K -$7K $0.17 1
2021 Q2 83K $16K $0 $0.19 2
2021 Q1 83K $16K -$2K $0.19 2
2020 Q4 104K $11K -$6.62K $0.11 3
2020 Q3 173K $17K +$8.98K $0.10 5
2020 Q2 103K $9K +$2.58K $0.08 4
2020 Q1 47.5K $2K +$232 $0.04 1
2019 Q4 87K $2K +$625 $0.02 2
2019 Q3 53.2K $2K +$945 $0.04 2
2019 Q2 38.4K $1K $0 $0.03 1
2019 Q1 38.4K $2K +$2K $0.05 1
2018 Q4 0 $0 -$2K 0
2018 Q3 62.1K $2K -$1.81K $0.03 2
2018 Q2 21K $2K +$1K $0.10 2
2018 Q1 34.4K $3K -$3.59K $0.09 2
2017 Q4 89.5K $9K +$1.88K $0.10 5
2017 Q3 70.1K $15K +$4.05K $0.21 3
2017 Q2 56.2K $28K +$4.93K $0.50 4
2017 Q1 45.7K $26K -$4K $0.57 3
2016 Q4 60.6K $19K -$2.18K $0.31 3
2016 Q3 65.4K $29K -$1.08K $0.45 4
2016 Q2 52.3K $20K $0 $0.40 3
2016 Q1 $0.62 1
2015 Q4 52.3K $26K $0 $0.51 3
2015 Q3 52.3K $36K -$2.07K $0.69 3
2015 Q2 55.3K $50K +$7K $0.90 3
2015 Q1 47.9K $55K +$5.79K $1.15 2
2014 Q4 42.9K $89K +$33K $2.08 2
2014 Q3 27K $46K +$8.78K $1.70 1
2014 Q2 21.9K $23K +$23K $1.05 1