Knowles Corp. (KN)
Sector: | Technology |
| |
Super Investor Stats: | |
Ownership count: | 1 |
Ownership rank: | 686 |
% of all portfolios: | 0.032% |
| |
History |
Portfolio Manager |
Activity |
Share change |
% change to portfolio ▼ |
Q4  2023 |
≡ |
John Rogers - Ariel Appreciation Fund |
Add 14.00% |
184,214 |
0.31 |
Q2  2023 |
≡ |
John Rogers - Ariel Appreciation Fund |
Reduce 12.06% |
180,487 |
0.30 |
Q1  2023 |
≡ |
John Rogers - Ariel Appreciation Fund |
Reduce 14.71% |
258,130 |
0.39 |
Q4  2022 |
≡ |
John Rogers - Ariel Appreciation Fund |
Add 8.13% |
131,914 |
0.20 |
Q3  2022 |
≡ |
John Rogers - Ariel Appreciation Fund |
Add 45.31% |
505,968 |
0.61 |
Q2  2022 |
≡ |
John Rogers - Ariel Appreciation Fund |
Add 17.85% |
169,134 |
0.27 |
Q4  2021 |
≡ |
John Rogers - Ariel Appreciation Fund |
Reduce 17.68% |
203,435 |
0.34 |
Q4  2020 |
≡ |
John Rogers - Ariel Appreciation Fund |
Reduce 5.41% |
65,800 |
0.11 |
Q3  2020 |
≡ |
John Rogers - Ariel Appreciation Fund |
Reduce 4.31% |
54,800 |
0.08 |
≡ |
Lee Ainslie - Maverick Capital |
Sell 100.00% |
69,122 |
0.02 |
Q2  2020 |
≡ |
John Rogers - Ariel Appreciation Fund |
Add 9.60% |
111,400 |
0.18 |
≡ |
Lee Ainslie - Maverick Capital |
Add 22.92% |
12,889 |
0.00 |
Q1  2020 |
≡ |
John Rogers - Ariel Appreciation Fund |
Add 77.90% |
508,000 |
0.81 |
≡ |
Lee Ainslie - Maverick Capital |
Buy |
56,233 |
0.02 |
Q4  2019 |
≡ |
John Rogers - Ariel Appreciation Fund |
Reduce 3.12% |
21,000 |
0.03 |
Q3  2019 |
≡ |
John Rogers - Ariel Appreciation Fund |
Reduce 13.75% |
107,300 |
0.17 |
Q2  2019 |
≡ |
John Rogers - Ariel Appreciation Fund |
Reduce 16.24% |
151,300 |
0.21 |
Q1  2019 |
≡ |
John Rogers - Ariel Appreciation Fund |
Buy |
931,700 |
1.23 |
Q1  2018 |
≡ |
Thomas Russo - Gardner Russo & Quinn |
Sell 100.00% |
300 |
0.00 |
Q4  2017 |
≡ |
Thomas Russo - Gardner Russo & Quinn |
Buy |
300 |
0.00 |
Q2  2014 |
≡ |
Thomas Russo - Gardner Russo & Quinn |
Sell 100.00% |
38,564 |
0.01 |
Q1  2014 |
≡ |
Thomas Russo - Gardner Russo & Quinn |
Buy |
38,564 |
0.01 |
* "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.