Core Laboratories Inc. (CLB)

Sector:Materials
Super Investor Stats:
Ownership count:2
Ownership rank:348
% of all portfolios:0.076%
Hold Price * :$18.53
History Portfolio Manager Activity Share change % change to portfolio
Q3  2024
Charles Bobrinskoy - Ariel Focus Fund Reduce 2.48% 2,880 0.08
John Rogers - Ariel Appreciation Fund Reduce 5.58% 91,175 0.17
Q4  2023
John Rogers - Ariel Appreciation Fund Reduce 6.29% 87,499 0.15
Q1  2023
John Rogers - Ariel Appreciation Fund Reduce 9.91% 143,180 0.28
Q3  2021
AKO Capital Sell 100.00% 1,365,005 0.60
Q1  2021
AKO Capital Reduce 35.05% 548,878 0.19
Q2  2020
Mairs & Power Growth Fund Sell 100.00% 695,000 0.20
Q2  2019
David Rolfe - Wedgewood Partners Sell 100.00% 4,675 0.02
Q1  2019
David Rolfe - Wedgewood Partners Reduce 38.49% 2,925 0.01
Q4  2018
Torray Funds Sell 100.00% 7,394 0.09
Meridian Contrarian Fund Sell 100.00% 50,000 0.90
David Rolfe - Wedgewood Partners Reduce 98.22% 418,400 1.65
Q3  2018
Meridian Contrarian Fund Reduce 16.67% 10,000 0.18
David Rolfe - Wedgewood Partners Reduce 41.12% 297,494 1.72
Q2  2018
David Rolfe - Wedgewood Partners Reduce 12.69% 105,198 0.67
Q1  2018
David Rolfe - Wedgewood Partners Reduce 10.29% 95,070 0.47
Q4  2017
David Rolfe - Wedgewood Partners Reduce 18.27% 206,431 0.92
Q3  2017
Thomas Gayner - Markel Group Sell 100.00% 110,000 0.24
David Rolfe - Wedgewood Partners Reduce 10.46% 132,071 0.44
Q2  2017
David Rolfe - Wedgewood Partners Reduce 19.89% 313,394 0.97
Q1  2017
David Rolfe - Wedgewood Partners Reduce 4.29% 70,666 0.21
Q4  2016
David Rolfe - Wedgewood Partners Reduce 13.03% 246,756 0.72
Q2  2016
David Rolfe - Wedgewood Partners Reduce 13.61% 265,838 0.67
Q1  2016
Meridian Contrarian Fund Sell 100.00% 62,900 1.25
Q4  2015
David Rolfe - Wedgewood Partners Reduce 11.00% 239,316 0.45
Q3  2015
David Rolfe - Wedgewood Partners Reduce 7.43% 174,502 0.25
Q2  2015
David Rolfe - Wedgewood Partners Reduce 7.08% 179,127 0.27
Q2  2013
William Von Mueffling - Cantillon Capital Management Sell 100.00% 745,323 3.27

* "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.