Yandex N.V. (YNDX)

Sector:Technology
Super Investor Stats:
Ownership count:1
Ownership rank:687
% of all portfolios:0.047%
History Portfolio Manager Activity Share change % change to portfolio
Q1  2022
Polen Capital Management Sell 100.00% 35,513 0.00
Q4  2021
John Armitage - Egerton Capital Sell 100.00% 2,871,515 1.09
Q3  2021
John Armitage - Egerton Capital Reduce 11.64% 378,396 0.14
Q2  2021
Greg Alexander - Conifer Management Reduce 5.67% 121,207 0.58
John Armitage - Egerton Capital Reduce 36.03% 1,830,246 0.64
Q4  2020
John Armitage - Egerton Capital Reduce 7.44% 378,028 0.15
Q3  2020
John Armitage - Egerton Capital Reduce 6.79% 370,268 0.15
Greg Alexander - Conifer Management Reduce 46.60% 1,864,000 8.52
Q2  2020
John Armitage - Egerton Capital Reduce 22.49% 1,580,967 0.59
Lee Ainslie - Maverick Capital Sell 100.00% 45,714 0.03
Q1  2020
John Armitage - Egerton Capital Reduce 22.79% 2,075,356 0.73
Q4  2019
Howard Marks - Oaktree Capital Management Sell 100.00% 488,857 0.47
Q3  2019
Howard Marks - Oaktree Capital Management Reduce 16.15% 94,163 0.09
Q2  2019
Howard Marks - Oaktree Capital Management Reduce 11.75% 77,629 0.08
Q1  2018
Lee Ainslie - Maverick Capital Sell 100.00% 163,760 0.07
Q4  2017
Howard Marks - Oaktree Capital Management Sell 100.00% 65,500 0.06
Q4  2016
Lee Ainslie - Maverick Capital Sell 100.00% 54,550 0.01
Q2  2016
Howard Marks - Oaktree Capital Management Reduce 50.04% 65,600 0.07
Q3  2015
Howard Marks - Oaktree Capital Management Reduce 96.05% 1,591,500 0.49
Q4  2014
Howard Marks - Oaktree Capital Management Reduce 93.18% 895,600 0.27
Q2  2014
Lee Ainslie - Maverick Capital Sell 100.00% 4,397,460 1.86
Stephen Mandel - Lone Pine Capital Sell 100.00% 987,950 0.13
Q2  2013
Stephen Mandel - Lone Pine Capital Sell 100.00% 1,705,900 0.21
Q1  2012
Stephen Mandel - Lone Pine Capital Sell 100.00% 637,699 0.10
Q4  2011
Stephen Mandel - Lone Pine Capital Reduce 48.74% 606,242 0.10
Q3  2011
Stephen Mandel - Lone Pine Capital Reduce 80.19% 5,034,371 0.85

* "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.