Chesapeake Energy (CHK)

Sector:Energy
Super Investor Stats:
Ownership count:4
Ownership rank:133
% of all portfolios:0.142%
Hold Price * :$76.94
History Portfolio Manager Activity Share change % change to portfolio
Q2  2023
Samantha McLemore - Patient Capital Management Add 676.49% 436,335 2.03
Q1  2023
Samantha McLemore - Patient Capital Management Add 69.74% 26,500 0.90
Bill Miller - Miller Value Partners Add 23.43% 89,789 0.43
First Eagle Investment Management Add 19.76% 5,936 0.00
Q4  2022
Bill Miller - Miller Value Partners Add 666.40% 333,200 2.03
David Tepper - Appaloosa Management Add 181.17% 163,055 1.14
Samantha McLemore - Patient Capital Management Add 72.73% 16,000 0.75
First Eagle Investment Management Add 3.78% 1,095 0.00
Q3  2022
Samantha McLemore - Patient Capital Management Buy 22,000 1.05
Stephen Mandel - Lone Pine Capital Buy 15,740 0.01
Q2  2022
First Eagle Investment Management Add 30.20% 6,904 0.00
Bill Miller - Miller Value Partners Buy 50,000 0.23
Q1  2022
First Eagle Investment Management Add 18.88% 3,631 0.00
Q4  2021
First Eagle Investment Management Add 97.63% 9,500 0.00
Howard Marks - Oaktree Capital Management Add 0.52% 62,036 0.06
Q3  2021
First Eagle Investment Management Add 734.56% 8,565 0.00
Q2  2021
First Eagle Investment Management Buy 1,166 0.00
Q1  2021
Howard Marks - Oaktree Capital Management Buy 11,939,117 9.70
David Tepper - Appaloosa Management Buy 3,728,685 2.32
Q4  2019
Bill Miller - Miller Value Partners Add 163.49% 124 0.00
Q2  2019
Bill Miller - Miller Value Partners Add 28.97% 27 0.00
Q2  2018
Bill Miller - Miller Value Partners Add 4.60% 10 0.00
Q1  2018
Bill Nygren - Oakmark Select Fund Add 12.54% 25,000 0.26
Bill Miller - Miller Value Partners Add 12.01% 23 0.00
Q4  2017
Bill Miller - Miller Value Partners Add 135.36% 111 0.01
Q3  2017
Bill Nygren - Oakmark Select Fund Add 67.20% 80,100 1.16
Bill Miller - Miller Value Partners Buy 82 0.00
Q2  2017
David Tepper - Appaloosa Management Buy 17,830 0.28
Q1  2017
Bill Nygren - Oakmark Select Fund Add 21.32% 35,000 0.77
Q3  2016
Bill Nygren - Oakmark Select Fund Add 991.03% 149,150 3.92
Mason Hawkins - Longleaf Partners Buy 153,100 7.12
Leon Cooperman Buy 1,368 0.05
Q1  2016
Mason Hawkins - Longleaf Partners Add 45.41% 31,650 0.94
Q4  2015
Bill Nygren - Oakmark Select Fund Add 13.13% 16,875 0.28
Q2  2015
Bill Nygren - Oakmark Select Fund Add 38.92% 36,000 1.33
Charles Bobrinskoy - Ariel Focus Fund Add 25.49% 97 0.36
Q1  2015
Bill Nygren - Oakmark Select Fund Add 54.17% 32,500 1.49
Carl Icahn - Icahn Capital Management Add 9.93% 33,000 0.29
Q4  2014
Mason Hawkins - Longleaf Partners Add 23.53% 21,890 1.33
Bill Nygren - Oakmark Select Fund Buy 60,000 3.69
Q1  2014
Charles Bobrinskoy - Ariel Focus Fund Add 5.96% 21 0.18
Q3  2013
Carl Icahn - Icahn Capital Management Add 11.31% 33,756 0.71
Q2  2013
Mohnish Pabrai - Pabrai Investments Add 1.68% 269 0.34
Bruce Berkowitz - Fairholme Capital Buy 15,971 1.09
Q1  2013
Mohnish Pabrai - Pabrai Investments Add 1.85% 291 0.44
Q4  2012
Mohnish Pabrai - Pabrai Investments Add 5.77% 860 0.90
Q3  2012
Mohnish Pabrai - Pabrai Investments Add 196.90% 9,894 13.65
Q2  2012
Mohnish Pabrai - Pabrai Investments Buy 5,025 7.77
Thomas Russo - Gardner Russo & Quinn Buy 0 0.00
Q1  2012
Charles Bobrinskoy - Ariel Focus Fund Add 29.00% 91 0.92
John Rogers - Ariel Appreciation Fund Add 20.47% 1,616 0.54
Q4  2011
John Rogers - Ariel Appreciation Fund Add 21.89% 1,418 0.51
Q3  2011
John Rogers - Ariel Appreciation Fund Add 10.08% 593 0.27
Q2  2011
Mason Hawkins - Longleaf Partners Add 7.09% 9,070 0.65
Charles Bobrinskoy - Ariel Focus Fund Buy 315 3.78
John Rogers - Ariel Appreciation Fund Buy 5,885 2.30
Q1  2009
Mason Hawkins - Longleaf Partners Add 7.27% 8,672 0.57
Q4  2008
Mason Hawkins - Longleaf Partners Add 49.93% 39,735 2.44
Q3  2008
Mason Hawkins - Longleaf Partners Add 14.38% 10,004 0.83
Q2  2008
David Tepper - Appaloosa Management Buy 9,500 4.10
Q1  2007
Mason Hawkins - Longleaf Partners Add 24.73% 17,703 1.05

* "Hold Price" is the last known price at which an investor still held a security. It is the closing price of the security as of the portfolio date (quarter end). This value is only provided when a security is owned by at least two investors. In the case of reporting dates being different, a weighted average price is calculated.