DUOT · Application · 266042407
Duos Technologies Group, Inc.
Q2 2025 · compared with Q1 2025
- Tracked value
- $5.2M
- Tracked filers
- 11
Quarter history
Tracked value counts one filer from each family. Net bought is the share change from the previous quarter. History follows the CUSIP on the latest information table, and it starts when that filer’s CIK exists, so a renamed issuer or a new CIK is shorter than ten years.
- Q2 202644 filers · $12$135M+$22.2M
- Q1 202628 filers · $7$54.5M+$45.3M
- Q4 202525 filers · $11$32.9M+$8.1M
- Q3 202516 filers · $7$14.4M+$8.8M
- Q2 202511 filers · $7$5.2M+$3.0M
- Q1 20259 filers · $6$1.1MFlat
- Q4 202410 filers · $6$1.2MFlat
- Q3 20249 filers · $3$373KFlat
- Q2 20249 filers · $3$436KFlat
- Q1 20248 filers · $4$751KFlat
- Q4 20239 filers · $3$582KFlat
- Q3 20238 filers · $5$961KFlat
- Q2 20235 filers · $6$1.1MFlat
- Q1 20236 filers · $3$393KFlat
- Q4 20229 filers · $2$278KFlat
- Q3 20223 filers · $4$472KFlat
- Q2 20223 filers · $4$437KFlat
- Q1 20224 filers · $6$699KFlat
- Q4 20214 filers · $5$486KFlat
- Q3 20215 filers · $6$374KFlat
- Q2 20214 filers · $10$591KFlat
- Q1 20212 filers · $11$423KFlat
- Q4 20201 filer · $4$83KFlat
- Q3 20201 filer · $4$5KFlat
- Q2 20201 filer · $5$58KFlat
- Q1 20202 filers · $5$7KFlat
Who owns it
- Royal Bank of CanadaGeneralist · 0.0% of their software312,400 shares$2.2M+$1.8M
- Morgan StanleyGeneralist · 0.0% of their software165,800 shares$1.2M+$748K
- GeodePassive · 0.0% of their software95,682 shares$684KFlat
- Northern TrustPassive · 0.0% of their software44,663 shares$319KFlat
- BlackRockPassive · 0.0% of their software42,723 shares$305KNew
- State StreetPassive · 0.0% of their software27,479 shares$196KFlat
- LPl FinancialGeneralist · 0.0% of their software21,050 shares$151KFlat
- UBS GroupGeneralist · 0.0% of their software10,652 shares$76KFlat
- Raymond James FinancialGeneralist · 0.0% of their software1,360 shares$10KNew
- Bank of AmericaGeneralist · 0.0% of their software88 shares$629Flat
- FidelityGeneralist · 0.0% of their software35 shares$249New
