PetSmart Inc. (PETM)

Sector:Consumer Discretionary
Super Investor Stats:
Ownership count:0
Ownership rank:--
% of all portfolios:0%
History Portfolio Manager Activity Share change % change to portfolio
Q1  2015
Hillman Value Fund Sell 100.00% 11,000 2.79
Q4  2014
Robert Olstein - Olstein Capital Management Sell 100.00% 139,000 1.59
Q3  2014
Robert Olstein - Olstein Capital Management Reduce 27.60% 53,000 0.61
Q2  2014
Robert Olstein - Olstein Capital Management Add 42.22% 57,000 0.54
Q1  2014
Robert Olstein - Olstein Capital Management Add 87.50% 63,000 0.69
Q2  2013
Hillman Value Fund Buy 11,000 2.33
Steven Romick - FPA Crescent Fund Sell 100.00% 423,000 0.42
Q1  2013
Robert Olstein - Olstein Capital Management Add 105.71% 37,000 0.42
Steven Romick - FPA Crescent Fund Reduce 53.77% 492,000 0.49
Q4  2012
Steven Romick - FPA Crescent Fund Reduce 26.10% 323,200 0.37
Q3  2012
Steven Romick - FPA Crescent Fund Reduce 40.38% 838,700 0.98
Robert Olstein - Olstein Capital Management Reduce 16.67% 7,000 0.09
Q2  2012
Robert Olstein - Olstein Capital Management Reduce 45.45% 35,000 0.47
Q1  2012
Robert Olstein - Olstein Capital Management Reduce 23.00% 23,000 0.23
Steven Romick - FPA Crescent Fund Reduce 5.60% 123,100 0.14
Q4  2011
Robert Olstein - Olstein Capital Management Reduce 30.56% 44,000 0.45
Q3  2011
Robert Olstein - Olstein Capital Management Reduce 25.66% 49,700 0.45
Q2  2011
Robert Olstein - Olstein Capital Management Reduce 14.67% 33,300 0.26
Q1  2011
Robert Olstein - Olstein Capital Management Reduce 1.30% 3,000 0.02
Q4  2010
Robert Olstein - Olstein Capital Management Add 24.32% 45,000 0.29
Q3  2010
Steven Romick - FPA Crescent Fund Add 2.33% 50,000 0.08
Robert Olstein - Olstein Capital Management Reduce 26.00% 65,000 0.41
Q2  2010
Robert Olstein - Olstein Capital Management Reduce 21.38% 68,000 0.39
Q4  2009
Robert Olstein - Olstein Capital Management Add 6.07% 18,200 0.08
Q3  2009
Robert Olstein - Olstein Capital Management Buy 299,800 1.11

* "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.