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Cowen Prime Advisors’s Accuray ARAY Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2023
Q2
$1.55M Sell
401,438
-1,000
-0.2% -$3.87K 0.54% 37
2023
Q1
$1.34M Sell
402,438
-13,100
-3% -$43.7K 0.54% 39
2022
Q4
$868K Buy
415,538
+252,552
+155% +$528K 0.36% 48
2022
Q3
$339K Sell
162,986
-2,800
-2% -$5.82K 0.19% 54
2022
Q2
$325K Sell
165,786
-500
-0.3% -$980 0.19% 58
2022
Q1
$550K Sell
166,286
-4,800
-3% -$15.9K 0.23% 53
2021
Q4
$816K Sell
171,086
-296
-0.2% -$1.41K 0.28% 56
2021
Q3
$677K Buy
171,382
+500
+0.3% +$1.98K 0.25% 58
2021
Q2
$772K Hold
170,882
0.28% 54
2021
Q1
$846K Buy
170,882
+6,000
+4% +$29.7K 0.32% 54
2020
Q4
$688K Hold
164,882
0.3% 47
2020
Q3
$396K Sell
164,882
-904
-0.5% -$2.17K 0.19% 59
2020
Q2
$325K Buy
165,786
+904
+0.5% +$1.77K 0.19% 58
2020
Q1
$313K Buy
+164,882
New +$313K 0.19% 59
2019
Q1
Sell
-194,686
Closed -$664K 177
2018
Q4
$664K Sell
194,686
-1,800
-0.9% -$6.14K 0.4% 49
2018
Q3
$884K Sell
196,486
-1,800
-0.9% -$8.1K 0.41% 53
2018
Q2
$813K Buy
198,286
+9,187
+5% +$37.7K 0.4% 54
2018
Q1
$946K Sell
189,099
-4,500
-2% -$22.5K 0.52% 47
2017
Q4
$832K Buy
193,599
+15,700
+9% +$67.5K 0.41% 51
2017
Q3
$712K Sell
177,899
-11,700
-6% -$46.8K 0.34% 48
2017
Q2
$901K Buy
189,599
+2,200
+1% +$10.5K 0.41% 50
2017
Q1
$890K Buy
187,399
+20,945
+13% +$99.5K 0.46% 46
2016
Q4
$766K Buy
166,454
+14,954
+10% +$68.8K 0.41% 48
2016
Q3
$965K Buy
151,500
+24,500
+19% +$156K 0.44% 58
2016
Q2
$659K Buy
127,000
+30,550
+32% +$159K 0.32% 56
2016
Q1
$557K Buy
96,450
+3,700
+4% +$21.4K 0.26% 63
2015
Q4
$626K Buy
92,750
+10,850
+13% +$73.2K 0.28% 61
2015
Q3
$409K Buy
81,900
+11,400
+16% +$56.9K 0.19% 68
2015
Q2
$475K Buy
70,500
+12,000
+21% +$80.9K 0.19% 67
2015
Q1
$544K Hold
58,500
0.22% 66
2014
Q4
$442K Buy
58,500
+24,200
+71% +$183K 0.17% 73
2014
Q3
$249K Buy
+34,300
New +$249K 0.11% 93
2014
Q2
Sell
-14,200
Closed -$136K 263
2014
Q1
$136K Hold
14,200
0.05% 123
2013
Q4
$124K Hold
14,200
0.05% 130
2013
Q3
$105K Sell
14,200
-11,558
-45% -$85.5K 0.04% 151
2013
Q2
$148K Buy
+25,758
New +$148K 0.06% 121