Stanley Black & Decker Inc. (SWK)

Sector:Consumer Discretionary
Super Investor Stats:
Ownership count:2
Ownership rank:373
% of all portfolios:0.053%
Hold Price * :$98.05
History Portfolio Manager Activity Share change % change to portfolio
Q4  2014
Richard Pzena - Hancock Classic Value Buy 279,775 1.02
Meridian Contrarian Fund Reduce 10.63% 15,000 0.22
Q3  2014
Meridian Contrarian Fund Add 48.49% 46,064 0.62
Q2  2014
Meridian Contrarian Fund Add 21.79% 17,000 0.21
Charles Bobrinskoy - Ariel Focus Fund Add 14.97% 5,300 0.72
John Rogers - Ariel Appreciation Fund Add 3.16% 27,900 0.12
Q1  2014
John Rogers - Ariel Appreciation Fund Add 67.18% 354,300 1.45
Charles Bobrinskoy - Ariel Focus Fund Add 5.67% 1,900 0.25
Meridian Contrarian Fund Buy 78,000 0.88
Q2  2013
Charles Bobrinskoy - Ariel Focus Fund Add 91.43% 16,000 2.59
John Rogers - Ariel Appreciation Fund Add 30.77% 124,100 0.59
Meridian Contrarian Fund Sell 100.00% 149,790 1.82
Q1  2013
John Rogers - Ariel Appreciation Fund Add 41.16% 117,600 0.63
Charles Bobrinskoy - Ariel Focus Fund Buy 17,500 3.07
Q4  2012
Meridian Contrarian Fund Reduce 15.75% 28,000 0.33
Q3  2012
Meridian Contrarian Fund Reduce 17.46% 37,600 0.45
Q2  2012
Meridian Contrarian Fund Reduce 21.39% 58,600 0.60
John Rogers - Ariel Appreciation Fund Reduce 31.37% 130,600 0.67
Q1  2012
John Rogers - Ariel Appreciation Fund Reduce 5.54% 24,400 0.13
Meridian Contrarian Fund Reduce 9.12% 27,500 0.31
Q3  2011
John Rogers - Ariel Appreciation Fund Reduce 16.97% 90,100 0.39
Q2  2011
John Rogers - Ariel Appreciation Fund Reduce 12.47% 75,600 0.36
Q1  2011
Meridian Contrarian Fund Reduce 2.93% 9,100 0.08
John Rogers - Ariel Appreciation Fund Reduce 5.13% 32,800 0.16
Q4  2010
John Rogers - Ariel Appreciation Fund Reduce 4.88% 32,800 0.15
Q3  2010
John Rogers - Ariel Appreciation Fund Reduce 0.96% 6,500 0.03
Q2  2010
John Rogers - Ariel Appreciation Fund Add 2.31% 15,300 0.06
Q1  2010
John Rogers - Ariel Appreciation Fund Buy 663,199 2.45
Meridian Contrarian Fund Buy 310,590 1.97

* "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.