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Recon Technology, Ltd

RCON
Exchange
Nasdaq
Industry
Oil & Gas Field Services, NEC
SEC CIK
0001442620

No open-market purchases or sales by Recon Technology, Ltd insiders were filed in the last 90 days; 8 institutions reported holding it in 13F filings for Q2 2026, worth $20.8K in total; no superinvestor holds it.

13F holders, Q2 2022

Institutional positions in Recon Technology, Ltd as of Jun 30, 2022. Investment managers with $100 million or more in US stocks report their long positions on Form 13F within 45 days after each quarter ends. How 13F works

Institutional holders
11
−4 vs. Q1 2022
Shares held
2.36M
−291.9K (−11.0%) vs. Q1 2022
Total value
$1.56M
−$1.31M (−45.6%) vs. Q1 2022
New holders
2
2 more added
Sold out
6
4 more reduced

Compare with Q1 2022: new holders, sold out and not filed yet

Holders and value by quarter

Institutions reporting RCON on Form 13F each quarter since Q1 2021, and the total value they reported. Values are as of each quarter end, so they also move with the share price.

Institutional holdersQ2 2022: 11 institutions
Q1 2021: 6 institutionsQ2 2021: 19 institutionsQ3 2021: 13 institutionsQ4 2021: 19 institutionsQ1 2022: 15 institutionsQ2 2022: 11 institutionsQ3 2022: 10 institutionsQ4 2022: 7 institutionsQ1 2023: 10 institutionsQ2 2023: 13 institutionsQ3 2023: 9 institutionsQ4 2023: 11 institutionsQ1 2024: 11 institutionsQ2 2024: 3 institutionsQ3 2024: 6 institutionsQ4 2024: 4 institutionsQ1 2025: 5 institutionsQ2 2025: 3 institutionsQ3 2025: 5 institutionsQ4 2025: 6 institutionsQ1 2026: 6 institutionsQ2 2026: 8 institutions
Value heldQ2 2022: $1.56M
Q1 2021: $747.0KQ2 2021: $6.03MQ3 2021: $4.72MQ4 2021: $5.99MQ1 2022: $2.87MQ2 2022: $1.56MQ3 2022: $1.30MQ4 2022: $248.9KQ1 2023: $2.10MQ2 2023: $1.69MQ3 2023: $1.31MQ4 2023: $921.2KQ1 2024: $495.9KQ2 2024: $22.8KQ3 2024: $130.3KQ4 2024: $10.4KQ1 2025: $40.4KQ2 2025: $1.14KQ3 2025: $182.6KQ4 2025: $135.5KQ1 2026: $38.4KQ2 2026: $20.8K
Institutions holding RCON and their total value by quarter
QuarterHoldersValue
Q2 20268$20.8K
Q1 20266$38.4K
Q4 20256$135.5K
Q3 20255$182.6K
Q2 20253$1.14K
Q1 20255$40.4K
Q4 20244$10.4K
Q3 20246$130.3K
Q2 20243$22.8K
Q1 202411$495.9K
Q4 202311$921.2K
Q3 20239$1.31M
Q2 202313$1.69M
Q1 202310$2.10M
Q4 20227$248.9K
Q3 202210$1.30M
Q2 202211$1.56M
Q1 202215$2.87M
Q4 202119$5.99M
Q3 202113$4.72M
Q2 202119$6.03M
Q1 20216$747.0K

Institutions, Q2 2022

Shares, value and share of portfolio for each institution holding Recon Technology, Ltd; share changes are against Q1 2022.

Institutions holding RCON in Q2 2022
InstitutionSharesValue% of portfolioChange in sharesAction
Sabby Management, LLC1,878,937$1.24M2.30%+197,171+11.7%Added
Citadel Advisors LLC186,850$124.0K0.00%+87,343+87.8%Added
Renaissance Technologies LLC155,600$103.0K0.00%−534,354−77.4%Reduced
Virtu Financial LLC37,037$25.0K0.00%+37,037New
Millennium Management LLC34,545$23.0K0.00%+34,545New
Group One Trading, L.P.26,125$17.0K0.00%−7,576−22.5%Reduced
Geode Capital Management, LLC15,122$10.0K0.00%00.0%Unchanged
Two Sigma Securities, LLC14,036$9.00K0.00%−1,514−9.7%Reduced
We Are One Seven, LLC10,709$7.00K0.00%00.0%Unchanged
Morgan Stanley2,870$2.00K0.00%−2,120−42.5%Reduced
Advisor Group Holdings, Inc.600$00.00%00.0%Unchanged
Jane Street Group, LLC0$00.00%−43,931−100.0%Sold out
Goldman Sachs Group Inc0$00.00%−33,883−100.0%Sold out
Two Sigma Advisers, LP0$00.00%−15,400−100.0%Sold out
Simplex Trading, LLC0$00.00%−4,895−100.0%Sold out
UBS Group AG0$00.00%−2,663−100.0%Sold out
Cutler Group LP0$00.00%−1,617−100.0%Sold out