Genasys Inc. - COM (GNSS) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2019 to Q4 2025

Type / Class
Equity / COM
Symbol
GNSS on Nasdaq
Price per share
$2.26
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
22,983,623
Total reported value
$49,293,664
% of total 13F portfolios
0%
Share change
-6,829,746
Value change
-$14,699,248
Number of holders
49
Price from insider filings
$2.26
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 49 institutional investors reported holding 22,983,623 shares of Genasys Inc. - COM (GNSS).

Institutional Holders of Genasys Inc. - COM (GNSS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 22,983,623 $49,293,664 -$14,699,248 $2.14 49
2025 Q3 29,823,219 $68,387,536 +$13,263,960 $2.45 49
2025 Q2 23,616,000 $40,855,516 -$1,155,453 $1.73 50
2025 Q1 24,004,173 $54,462,632 +$2,205,944 $2.27 64
2024 Q4 22,939,347 $59,640,602 +$139,099 $2.60 61
2024 Q3 16,106,849 $57,323,859 -$1,448,291 $3.56 54
2024 Q2 16,793,955 $35,508,982 +$311,698 $2.12 44
2024 Q1 16,631,775 $39,405,642 -$1,921,173 $2.37 47
2023 Q4 17,626,334 $35,774,939 -$1,854,429 $2.03 54
2023 Q3 18,606,053 $37,386,325 +$7,987,570 $2.01 54
2023 Q2 14,619,606 $38,024,907 +$48,547 $2.60 48
2023 Q1 14,593,852 $43,054,074 +$446,463 $2.95 44
2022 Q4 14,444,133 $53,396,281 -$1,041,912 $3.70 38
2022 Q3 14,762,441 $40,889,028 -$991,224 $2.77 34
2022 Q2 15,122,732 $49,147,000 -$66,361 $3.25 35
2022 Q1 15,164,742 $41,702,000 -$1,086,245 $2.75 38
2021 Q4 15,496,393 $61,675,000 -$4,083,134 $3.98 45
2021 Q3 16,309,654 $84,483,000 +$91,408 $5.18 50
2021 Q2 16,277,000 $89,192,000 -$15,032,894 $5.48 59
2021 Q1 18,797,098 $125,786,000 +$2,616,593 $6.69 63
2020 Q4 18,411,215 $120,028,000 -$1,700,608 $6.52 61
2020 Q3 18,721,340 $115,153,000 -$4,943,806 $6.15 61
2020 Q2 19,571,576 $95,113,000 +$16,546,099 $4.86 56
2020 Q1 16,220,997 $53,044,000 +$36,919,501 $3.27 39
2019 Q4 4,926,126 $16,109,000 +$16,109,000 $3.27 2