NASDAQ : CTG

Computer Task Group, Incorporated — Institutional Ownership

$10.5 USD

$0.01 (0.1%)

Volume
49.16K
Average Volume
63.74K
Market Capitalization
$168.99M
P/E Ratio
22.83
Dividend Yield
0.00%
Price Target
Year High
$10.50
Year Low
$6.05
Day High
Day Low
Payout Ratio
$0.00
Current Ratio
$1.92
Institutional Ownership Summary
Institutional Ownership %

%

Investors Holding

change: 0.0 | last:
Increased Positions

change: 0.0 | last:
Reduced Positions

change: 0.0 | last:
New Positions

change: 0.0 | last:
Sold Positions

change: 0.0 | last:
Total Calls

-

Total Puts

-

Put-Call Ratio

change: 0.0 | last:
Total Invested

-

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2023-02-09 The Vanguard Group - 23-1945930 833.74K 5.31%
2023-02-09 The Vanguard Group - 23-1945930 833.74K 5.31%
2022-10-05 52-2343049 1.57M 10.11%
2022-10-05 52-2343049 1.57M 10.11%
2022-02-14 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 1.23M 6.40%
2022-02-11 26-0385758 965.99K 6.30%
2022-02-11 13-3127734 965.99K 6.30%
2022-02-11 26-0385758 965.99K 6.30%
2022-02-11 13-3127734 965.99K 6.30%
2022-02-09 The Vanguard Group - 23-1945930 665.07K 4.33%
2022-02-08 30-0447847 955.46K 6.20%
2022-01-14 52-2343049 1.14M 7.46%
2021-08-04 52-2343049 1.06M 6.89%
2021-02-12 30-0447847 954.09K 6.30%
2021-02-11 13-3127734 1.17M 7.70%
2021-02-11 26-0385758 1.17M 7.70%
2021-02-11 26-0385758 1.17M 7.70%
2021-02-11 13-3127734 1.17M 7.70%
2021-02-10 The Vanguard Group - 23-1945930 808.64K 5.32%
2021-02-09 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 1.18M 6.10%
2021-02-08 VANGUARD INDEX FUNDS - VANGUARD TOTAL STOCK MARKET INDEX FUND - 23-2671505 626.14K 4.12%
2020-11-17 Wax Asset Management, LLC 351.7K 2.30%
2020-11-17 AGS SPV I, LLC 624.91K 4.10%
2020-11-17 Assurance Global Services LLC 624.91K 4.10%
2020-11-17 James M. Lindstrom 624.91K 4.10%
2020-10-19 Wax Asset Management, LLC 351.7K 2.30%
2020-10-19 James M. Lindstrom 624.91K 4.10%
2020-10-19 Assurance Global Services LLC 624.91K 4.10%
2020-10-19 AGS SPV I, LLC 624.91K 4.10%
2020-09-14 AGS SPV I, LLC 624.91K 4.10%
2020-09-14 Assurance Global Services LLC 624.91K 4.10%
2020-09-14 Wax Asset Management, LLC 351.7K 2.30%
2020-09-14 James M. Lindstrom 624.91K 4.10%
2020-09-09 Assurance Global Services LLC 624.91K 4.10%
2020-09-09 Wax Asset Management, LLC 351.7K 2.30%
2020-09-09 James M. Lindstrom 624.91K 4.10%
2020-09-09 AGS SPV I, LLC 624.91K 4.10%
2020-02-13 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 1.17M 5.90%
2020-02-13 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 1.17M 5.90%
2020-02-12 (. 978.95K 6.66%
2020-02-13 26-0385758 1.08M 7.34%
2020-02-13 13-3127734 1.08M 7.34%
2020-02-12 VANGUARD INDEX FUNDS - VANGUARD TOTAL STOCK MARKET INDEX FUND - 23-2671505 746.5K 5.07%
2020-02-11 The Vanguard Group - 23-1945930 934.56K 6.35%
2020-02-11 The Vanguard Group - 23-1945930 934.56K 6.35%
2020-01-14 Global Services LLC 624.91K 4.30%
2020-01-14 Asset Management, LLC 351.7K 2.40%
2020-01-14 M. Lindstrom 624.91K 4.30%
2020-01-14 SPV I, LLC 624.91K 4.30%
2019-10-11 Asset Management, LLC 375.78K 2.60%
2019-10-11 Global Services LLC 594.63K 4.10%
2019-10-11 M. Lindstrom 594.63K 4.10%
2019-10-11 SPV I, LLC 594.63K 4.10%
2019-08-28 James M. Lindstrom 448.47K 3.10%
2019-08-28 Wax Asset Management, LLC 381.6K 2.60%
2019-08-28 AGS SPV I, LLC 448.47K 3.10%
2019-08-28 Assurance Global Services LLC 448.47K 3.10%
2019-02-12 26-0385758 939.7K 6.58%
2019-02-12 13-3127734 939.7K 6.58%
2019-02-12 13-3127734 939.7K 6.58%
2019-02-12 26-0385758 939.7K 6.58%
2019-02-08 (. 986.59K 6.91%
2019-01-31 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 1.23M 6.00%
2019-01-31 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 1.23M 6.00%
2018-12-06 52-2343049 240.2K 1.68%
2018-01-23 Neil S. Subin 1.33M 8.60%
2018-01-23 Neil S. Subin 1.33M 8.60%
2018-01-22 52-2343049 1.12M 7.23%
2017-02-08 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 1.07M 4.30%
2017-02-08 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 1.07M 4.30%
2017-01-06 52-2343049 1.63M 10.06%
2016-05-27 Lloyd I. Miller, III 870.12K 5.30%
2016-03-08 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 980.39K 3.30%
2016-03-08 Minerva Advisors LLCMinerva Group, LPMinerva GP, LP Minerva GP, Inc. David P. Cohen 980.39K 3.30%
2016-01-15 2. 166.72K 4.28%
2016-01-15 2. 166.72K 0.01%
2016-01-12 52-2343049 2.79M 14.70%
2015-02-04 Page 2 of 8 Pages 916.5M 4.94%
2015-02-04 2. 134.22K 0.70%
2015-02-04 Page 3 of 8 Pages 916.5K 5.34%
2015-01-30 Pembroke Management, LTD - 0.00%
2015-01-30 Pembroke Management, LTD - 0.00%
2015-01-06 52-2343049 2.31M 12.48%
2014-12-08 Pembroke Management, LTD - 0.00%
2014-12-08 Pembroke Management, LTD - 0.00%
2014-11-06 52-2343049 2.02M 10.90%
2014-11-03 Estate of James R. Boldt 00-0000000 1.08M 5.83%
2014-06-09 (1) BlackRock, Inc. 906.5K 4.90%
2014-06-06 52-2343049 1.57M 8.52%
2014-05-13 Pembroke Management, LTD 1.85M 10.07%
2014-05-13 Pembroke Management, LTD 1.85M 10.07%
2014-02-10 2. 1.21M 6.50%
2014-02-10 2. 1.21M 6.50%
2014-01-28 (1) BlackRock, Inc. 958.04K 5.20%
2014-01-10 Pembroke Management, LTD 1.71M 9.22%
2014-01-10 Pembroke Management, LTD 1.71M 9.22%
2013-04-09 HEARTLAND ADVISORS, INC. 914.08K 4.90%
2013-04-09 WILLIAM J. NASGOVITZ 917.08K 4.90%
2013-04-09 HEARTLAND ADVISORS, INC. 914.08K 4.90%
2013-02-14 FMR LLC 1.19M 6.35%
2013-02-14 Edward C. Johnson 3d 1.19M 6.35%
2013-02-13 2) 967.03K 5.17%
2013-02-13 2) 967.03K 5.17%
2013-02-07 WILLIAM J. NASGOVITZ 1M 5.30%
2013-02-07 HEARTLAND ADVISORS, INC. 1M 5.30%
2012-11-07 HEARTLAND ADVISORS, INC. 1M 5.30%
2012-11-07 WILLIAM J. NASGOVITZ 1M 5.30%
2012-11-07 WILLIAM J. NASGOVITZ 1M 5.30%
2012-11-07 HEARTLAND ADVISORS, INC. 1M 5.30%
2012-02-14 Edward C. Johnson 3d 886.1K 4.81%
2012-02-14 FMR LLC 886.1K 4.81%
2012-02-10 WILLIAM J. NASGOVITZ 2.02M 11.00%
2012-02-10 HEARTLAND ADVISORS, INC. 2.02M 11.00%
2010-06-10 No. of Above Person 2.02M 13.68%
2010-06-10 No. of Above Person 2.02M 13.68%
2010-06-10 56-0906609 10.0 12.00%
2010-02-10 WILLIAM J. NASGOVITZ 2.24M 12.30%
2010-02-10 HEARTLAND ADVISORS, INC. 2.24M 12.30%
2010-02-08 (. 982.3K 5.41%
2010-02-02 13-2740599 2200.0 0.00%
2010-02-02 94-1687665 2.14M 11.80%
2010-02-02 56-0906609 2.15M 11.90%
2010-02-02 94-1687665 2.14M 11.80%
2010-02-02 13-5674085 10159.0 0.10%
2009-02-11 WILLIAM J. NASGOVITZ 2M 10.80%
2009-02-11 36-2685437 2.3M 12.42%
2009-02-11 36-3737560 2.3M 12.42%
2009-02-11 56-1857749 2.3M 12.42%
2009-02-11 56-0906609 2.3M 12.42%
2009-02-11 94-1687665 2.3M 12.42%
2009-02-11 94-1687665 2.3M 12.42%
2009-02-11 94-1687665 2.3M 12.42%
2009-02-11 #39-1078128 2M 10.80%
2009-02-09 (. 1M 5.41%
2008-05-09 WILLIAM J. NASGOVITZ 1.88M 10.00%
2008-05-09 #39-1078128 1.88M 10.00%
2008-02-08 WILLIAM J. NASGOVITZ 1.59M 8.20%
2008-02-08 #39-1078128 1.59M 8.20%
2008-02-06 (. 1.15M 5.90%
2007-03-19 Computer Task Group, Incorporated Stock Employee Compensation Trust             Thomas R. Beecher, T 3.55M 17.31%
2007-02-09 (. 1.31M 6.51%
2007-02-02 (. 1.31M 6.51%
2006-02-08 Thomas R. Beecher, Trustee 3.87M 18.55%
2006-02-06 (. 1.1M 5.34%
2005-02-11 NB Holdings Corporation             56-1857749 1500.0 0.01%
2005-02-11 Bank of America Corporation             56-0906609 2.19M 10.51%
2005-02-11 Fleet National Bank             04-2472499 2.19M 10.50%
2005-02-11 Columbia Management Group, Inc.             01-0547933 1.64M 7.85%
2005-02-11 Columbia Management Advisors, Inc.             93-1234220 1.64M 7.85%
2005-02-11 Bank of America, NA             86-0645265 1500.0 0.01%
2005-02-09 (. 1.07M 5.12%
2004-06-04 Columbia Management Advisors, Inc. 1.65M 7.90%
2004-06-04 56-0906609 2.2M 10.60%
2004-06-04 04-2472499 2.2M 10.60%
2004-06-04 Columbia Management Group, Inc. 1.65M 7.90%
2004-02-13 05-0341324 2.2M 10.55%
2004-02-10 The TCW Group, Inc., on behalf of the TCW Business Unit 1.16M 5.50%
2004-02-09 The TCW Group, Inc., on behalf of the TCW Business Unit 1.16M 5.50%
2004-02-06 (. 1.06M 5.06%
2003-02-10 (. 1.11M 5.30%
2003-02-05 The TCW Group, Inc., on behalf of the TCW Business Unit 1.15M 5.50%
2002-12-13 05-0341324 2.1M 11.00%
2001-02-14 05-0341324 1.26M 6.00%
1999-02-12 Edward C. Johnson 3d 182K 0.88%
1999-02-12 FMR Corp. 182K 0.88%
1999-02-12 Abigail P. Johnson 182K 0.88%
1998-02-10 Edward C. Johnson 3d 1.21M 5.84%
1998-02-10 FMR Corp. 1.21M 5.84%
1998-02-10 Abigail P. Johnson 1.21M 5.84%
1998-01-29 04-2601915 1.58M 7.63%
1996-02-15 SBC Holding (USA), Inc. 635.6K 7.30%
1996-02-15 Swiss Bank Corporation 635.6K 7.30%
1996-02-15 Brinson Holdings, Inc. 635.6K 7.30%
1996-02-15 Brinson Trust Company 171.27K 2.00%
1996-02-15 Brinson Partners, Inc. 635.6K 7.30%
1995-06-23 Shawmut National Corporation (#06-1212629) 543.2K 5.43%
1995-02-13 Rockefeller & Co., Inc. 632.56K 6.20%
CTG Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2022-12-31 $7.56 14.44M $109.17M $25.14M $18.37M $102.4M
2021-12-31 $9.97 14.92M $148.79M $35.58M $22.06M $135.26M
2020-12-31 $6.12 14.41M $88.21M $32.86M $21.99M $77.33M
2019-12-31 $5.18 13.45M $69.67M $10.78M $26.23M $85.12M
2018-12-31 $4.08 13.8M $56.32M $12.43M $3.64M $47.53M
2017-12-31 $5.10 15.06M $76.78M $11.17M $4.44M $70.05M
2016-12-31 $4.21 15.59M $65.65M $9.41M $4.72M $60.96M
2015-12-31 $6.62 15.48M $102.47M $10.8M $1.22M $92.89M
2014-12-31 $9.53 15.12M $144.09M $40.86M -$ $103.23M
2013-12-31 $18.83 15.36M $289.32M $46.23M -$ $243.1M
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2023-09-29 $10.33 14.9M $153.95M $24.07M $19.6M $149.48M
2023-06-30 $7.61 14.83M $112.87M $19.14M $19.27M $113M
2023-03-31 $7.25 14.7M $106.6M $23.3M $19.85M $103.16M
2022-12-31 $7.56 14.66M $110.81M $25.14M $18.37M $104.05M
2022-09-30 $6.70 14.48M $97.02M $26.75M $17M $87.26M
2022-07-01 $8.39 14.42M $120.98M $35.48M $18.87M $104.36M
2022-04-01 $9.81 14.93M $146.5M $38.72M $20.58M $128.35M
2021-12-31 $9.97 14.15M $141.11M $35.58M $22.06M $127.58M
2021-10-01 $7.96 14.01M $111.53M $31.03M $23.04M $103.54M
2021-07-02 $9.66 13.84M $133.74M $29.21M $23.07M $127.61M
2021-04-02 $9.74 13.7M $133.4M $33.52M $23.76M $123.64M
2020-12-31 $6.12 13.67M $83.66M $32.86M $21.99M $72.79M