Mercury General Corp. (MCY)

Sector:Financials
Super Investor Stats:
Ownership count:1
Ownership rank:687
% of all portfolios:0.136%
History Portfolio Manager Activity Share change % change to portfolio
Q4  2023
Christopher Bloomstran - Semper Augustus Add 2.95% 39,853 0.31
Q3  2023
Christopher Bloomstran - Semper Augustus Add 7.28% 91,671 0.62
Q2  2023
Christopher Bloomstran - Semper Augustus Add 91.89% 603,240 4.31
Q1  2023
Christopher Bloomstran - Semper Augustus Add 10.06% 60,000 0.49
Q4  2022
Christopher Bloomstran - Semper Augustus Add 4.18% 23,913 0.22
Q3  2022
Christopher Bloomstran - Semper Augustus Add 300.96% 429,770 3.69
Q2  2022
Christopher Bloomstran - Semper Augustus Add 0.02% 34 0.00
Q1  2022
Christopher Bloomstran - Semper Augustus Add 5.60% 7,574 0.11
Q4  2021
Christopher Bloomstran - Semper Augustus Add 0.50% 678 0.01
Q3  2021
Christopher Bloomstran - Semper Augustus Reduce 6.19% 8,874 0.16
Q2  2021
Christopher Bloomstran - Semper Augustus Reduce 51.83% 154,306 3.33
Q1  2021
Christopher Bloomstran - Semper Augustus Reduce 0.74% 2,218 0.05
Q4  2020
Christopher Bloomstran - Semper Augustus Add 38.70% 83,687 1.91
Q3  2020
Christopher Bloomstran - Semper Augustus Add 3.01% 6,324 0.13
Q2  2020
Christopher Bloomstran - Semper Augustus Add 10.10% 19,256 0.44
Q1  2020
Christopher Bloomstran - Semper Augustus Add 77.01% 82,942 2.13
Q4  2019
Christopher Bloomstran - Semper Augustus Add 0.00% 1 0.00
Q3  2019
Christopher Bloomstran - Semper Augustus Reduce 0.31% 339 0.01
Q2  2019
Christopher Bloomstran - Semper Augustus Reduce 29.40% 44,992 1.67
Q1  2019
Christopher Bloomstran - Semper Augustus Add 1.37% 2,063 0.06
Q4  2018
Christopher Bloomstran - Semper Augustus Reduce 2.21% 3,418 0.11
Q4  2010
FPA Queens Road Small Cap Value Fund Sell 100.00% 763,900 4.00
Q1  2007
FPA Queens Road Small Cap Value Fund Add 64.67% 300,000 1.17

* "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.