Meta Platforms Inc. (META)

Sector:Technology
Super Investor Stats:
Ownership count:24
Ownership rank:4
% of all portfolios:2.087%
Hold Price * :$393.18
History Portfolio Manager Activity Share change % change to portfolio
Q1  2017
Pat Dorsey - Dorsey Asset Management Add 22.21% 41,544 3.34
Q4  2016
Lee Ainslie - Maverick Capital Add 120.14% 2,061,838 3.08
David Tepper - Appaloosa Management Add 47.00% 697,742 1.50
Thomas Gayner - Markel Asset Management Add 23.30% 12,000 0.03
Q3  2016
Thomas Gayner - Markel Asset Management Add 68.85% 21,000 0.07
Daniel Loeb - Third Point Add 45.33% 1,700,000 1.90
David Tepper - Appaloosa Management Buy 1,484,608 5.01
Q2  2016
Thomas Gayner - Markel Asset Management Add 117.86% 16,500 0.05
Lee Ainslie - Maverick Capital Add 74.19% 1,184,327 1.84
Daniel Loeb - Third Point Buy 3,750,000 4.13
Q1  2016
Lee Ainslie - Maverick Capital Add 63755.12% 1,593,878 2.88
Thomas Gayner - Markel Asset Management Add 300.00% 10,500 0.03
Stephen Mandel - Lone Pine Capital Add 16.64% 1,628,196 0.95
David Tepper - Appaloosa Management Buy 1,627,950 3.84
Q4  2015
Thomas Gayner - Markel Asset Management Buy 3,500 0.01
Q3  2015
Leon Cooperman Add 84.44% 484,100 0.88
Stephen Mandel - Lone Pine Capital Add 9.63% 940,537 0.38
Q2  2015
Stephen Mandel - Lone Pine Capital Add 20.41% 1,654,800 0.63
Leon Cooperman Buy 573,300 0.79
Q1  2015
Lee Ainslie - Maverick Capital Buy 3,200 0.00
Q4  2014
Stephen Mandel - Lone Pine Capital Add 56.31% 4,864,102 1.62
Q3  2014
Stephen Mandel - Lone Pine Capital Buy 8,638,513 2.73
Q2  2014
David Tepper - Appaloosa Management Add 649.29% 3,106,829 3.19
Q1  2014
David Tepper - Appaloosa Management Buy 478,500 0.50
Q2  2013
Stephen Mandel - Lone Pine Capital Buy 9,864,619 1.26
Q1  2013
Thomas Russo - Gardner Russo & Quinn Buy 112 0.00
Q4  2012
Stephen Mandel - Lone Pine Capital Buy 10,928,300 1.88

* "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.