TechnipFMC plc (FTI)

Sector:Energy
Super Investor Stats:
Ownership count:2
Ownership rank:373
% of all portfolios:0.007%
Hold Price * :$20.14
History Portfolio Manager Activity Share change % change to portfolio
Q4  2023
Bill Miller - Miller Value Partners Reduce 1.89% 840 0.01
Q3  2023
Bill Miller - Miller Value Partners Reduce 2.60% 1,185 0.02
Q2  2023
Bill Miller - Miller Value Partners Reduce 69.09% 101,935 1.14
Q1  2023
Bill Miller - Miller Value Partners Reduce 46.96% 130,655 0.12
Q4  2022
Bill Miller - Miller Value Partners Reduce 21.32% 75,370 0.06
Q3  2022
Greenhaven Associates Reduce 16.67% 3,100 0.00
Bill Miller - Miller Value Partners Reduce 16.85% 71,630 0.04
Q2  2022
Bill Miller - Miller Value Partners Add 5.33% 21,500 0.01
Greenhaven Associates Buy 18,600 0.00
Q1  2022
Bill Miller - Miller Value Partners Buy 403,700 0.12
Q4  2020
First Eagle Investment Management Sell 100.00% 2,646,283 0.05
Lee Ainslie - Maverick Capital Sell 100.00% 154,477 0.02
Q3  2020
Lee Ainslie - Maverick Capital Reduce 7.33% 12,211 0.00
First Eagle Investment Management Reduce 80.56% 10,968,805 0.21
Q2  2020
Lee Ainslie - Maverick Capital Buy 166,688 0.02
First Eagle Investment Management Reduce 51.76% 14,607,313 0.31
Alex Roepers - Atlantic Investment Management Sell 100.00% 1,758,032 6.69
Q1  2020
Alex Roepers - Atlantic Investment Management Add 6178.69% 1,730,032 6.58
First Eagle Investment Management Reduce 12.55% 4,049,491 0.10
Q4  2019
First Eagle Investment Management Add 19.16% 5,189,029 0.30
Alex Roepers - Atlantic Investment Management Buy 28,000 0.18
Q1  2017
Lee Ainslie - Maverick Capital Sell 100.00% 94,420 0.04
Q4  2016
Lee Ainslie - Maverick Capital Reduce 17.39% 19,870 0.01
Q3  2016
Lee Ainslie - Maverick Capital Reduce 2.17% 2,530 0.00
Q2  2016
Lee Ainslie - Maverick Capital Buy 116,820 0.04
Q1  2012
Stephen Mandel - Lone Pine Capital Sell 100.00% 6,238,283 2.49
Q4  2011
Stephen Mandel - Lone Pine Capital Buy 6,238,283 2.49

* "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.