Canadian Natural Resources (CNQ)

Sector:Materials
Super Investor Stats:
Ownership count:1
Ownership rank:687
% of all portfolios:0.114%
History Portfolio Manager Activity Share change % change to portfolio
Q4  2023
Yacktman Asset Management Reduce 0.99% 149,461 0.09
Lee Ainslie - Maverick Capital Sell 100.00% 4,916 0.01
Q3  2023
Yacktman Asset Management Reduce 0.19% 29,202 0.02
Lee Ainslie - Maverick Capital Reduce 9.62% 523 0.00
Q2  2023
Yacktman Asset Management Reduce 0.69% 105,374 0.06
Q4  2022
Yacktman Asset Management Reduce 4.02% 635,421 0.35
Q3  2022
Yacktman Asset Management Reduce 6.43% 1,085,448 0.55
Q2  2022
Yacktman Asset Management Reduce 0.36% 60,957 0.03
Q1  2022
Yacktman Asset Management Reduce 0.43% 73,794 0.04
Q1  2021
Bruce Berkowitz - Fairholme Capital Sell 100.00% 475,300 0.93
Lee Ainslie - Maverick Capital Sell 100.00% 4,517 0.00
Q4  2019
Michael Burry - Scion Asset Management Sell 100.00% 150,000 6.70
Q2  2016
Ruane Cunniff - Sequoia Fund Sell 100.00% 178,592 0.10
Q1  2016
Bruce Berkowitz - Fairholme Capital Sell 100.00% 1,107,100 0.99
Q4  2015
Bruce Berkowitz - Fairholme Capital Reduce 88.60% 8,603,400 7.69
Steven Romick - FPA Crescent Fund Sell 100.00% 3,450,940 0.68
Q3  2015
Ruane Cunniff - Sequoia Fund Reduce 0.01% 9 0.00
Steven Romick - FPA Crescent Fund Reduce 34.64% 1,829,060 0.36
Q3  2014
Ruane Cunniff - Sequoia Fund Reduce 0.25% 447 0.00
Q2  2014
Ruane Cunniff - Sequoia Fund Reduce 0.09% 166 0.00
Q1  2013
Ruane Cunniff - Sequoia Fund Reduce 0.16% 294 0.00
Q3  2010
Ruane Cunniff - Sequoia Fund Reduce 50.00% 179,508 0.25
Q3  2009
Ruane Cunniff - Sequoia Fund Reduce 0.27% 492 0.00
Q2  2009
Bruce Berkowitz - Fairholme Capital Sell 100.00% 17,593,600 6.17
Q3  2008
Bruce Berkowitz - Fairholme Capital Reduce 20.37% 2,799,800 1.60
David Tepper - Appaloosa Management Sell 100.00% 600,000 0.98
Q2  2008
Bruce Berkowitz - Fairholme Capital Reduce 53.80% 16,009,400 10.47
Q1  2008
Bruce Berkowitz - Fairholme Capital Reduce 0.45% 134,400 0.09

* "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.