St Jude Medical (STJ)

Sector:Health Care
Super Investor Stats:
Ownership count:0
Ownership rank:--
% of all portfolios:0%
History Portfolio Manager Activity Share change % change to portfolio
Q1  2017
Mairs & Power Growth Fund Sell 100.00% 2,180,000 4.03
Q4  2016
Charles Bobrinskoy - Ariel Focus Fund Sell 100.00% 25,500 4.30
Daniel Loeb - Third Point Sell 100.00% 2,600,000 1.80
Q3  2016
John Rogers - Ariel Appreciation Fund Sell 100.00% 558,300 2.65
Q2  2016
John Rogers - Ariel Appreciation Fund Reduce 50.81% 576,800 2.74
Q4  2015
Charles Bobrinskoy - Ariel Focus Fund Reduce 1.82% 200 0.03
Q3  2015
Mairs & Power Growth Fund Reduce 0.71% 10,000 0.02
Charles Bobrinskoy - Ariel Focus Fund Reduce 12.70% 1,600 0.23
Q2  2015
Mairs & Power Growth Fund Reduce 11.39% 180,000 0.32
Q2  2014
John Rogers - Ariel Appreciation Fund Reduce 14.91% 143,200 0.50
Q1  2014
John Rogers - Ariel Appreciation Fund Reduce 14.37% 161,200 0.53
Q3  2013
John Rogers - Ariel Appreciation Fund Reduce 13.76% 179,000 0.54
Q4  2012
John Rogers - Ariel Appreciation Fund Reduce 6.45% 67,700 0.19
David Katz - Matrix Asset Advisors Sell 100.00% 47,000 3.42
Q3  2012
John Rogers - Ariel Appreciation Fund Reduce 2.83% 30,600 0.10
David Katz - Matrix Asset Advisors Reduce 30.37% 20,500 1.49
Q1  2012
David Katz - Matrix Asset Advisors Reduce 8.97% 6,500 0.34
Q3  2011
David Katz - Matrix Asset Advisors Reduce 8.15% 5,500 0.27
John Rogers - Ariel Appreciation Fund Reduce 17.61% 168,200 0.54
Q2  2011
David Katz - Matrix Asset Advisors Reduce 0.74% 500 0.02
John Rogers - Ariel Appreciation Fund Reduce 2.77% 27,200 0.09
Q2  2010
John Rogers - Ariel Appreciation Fund Reduce 0.61% 5,800 0.02
Q2  2009
Mairs & Power Growth Fund Reduce 3.25% 40,000 0.10
Q1  2009
Mairs & Power Growth Fund Reduce 4.65% 60,000 0.16
Q4  2008
Mairs & Power Growth Fund Reduce 2.27% 30,000 0.06
Q3  2008
Mairs & Power Growth Fund Reduce 11.41% 170,000 0.34
Q1  2008
Mairs & Power Growth Fund Reduce 5.10% 80,000 0.15
Q3  2007
Mairs & Power Growth Fund Reduce 4.27% 70,000 0.11

* "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.