Bought (120 mo)
$37.20M
out of their own pocket, the only kind of buying there is
No percentages here. This company's share count has moved by a factor of 3.3 over the window, from 10,555,728 to 34,354,334 shares. A split, a merger or a large issue changes what the company is, and a holding measured at one point in that run is not a fraction of it at another.
Nothing of that kind in this period.