Northrop Grumman Corp. (NOC)
Sector: | Industrials |
Super Investor Stats: | |
Ownership count: | 2 |
Ownership rank: | 347 |
% of all portfolios: | 0.026% |
Hold Price * : | $528.05 |
History | Portfolio Manager | Activity ▼ | Share change | % change to portfolio | |
Q3  2024 | |||||
≡ | Torray Funds | Buy | 887 | 0.07 | |
Q1  2024 | |||||
≡ | Lee Ainslie - Maverick Capital | Buy | 1,559 | 0.01 | |
Q2  2023 | |||||
≡ | Lee Ainslie - Maverick Capital | Buy | 1,310 | 0.01 | |
Q2  2022 | |||||
≡ | Yacktman Asset Management | Add 0.07% | 322 | 0.00 | |
Q4  2021 | |||||
≡ | Yacktman Asset Management | Add 0.97% | 4,267 | 0.01 | |
Q2  2021 | |||||
≡ | Yacktman Asset Management | Add 1.98% | 8,550 | 0.03 | |
Q1  2021 | |||||
≡ | Lee Ainslie - Maverick Capital | Add 40.51% | 1,292 | 0.00 | |
≡ | Yacktman Asset Management | Buy | 432,680 | 1.46 | |
Q2  2020 | |||||
≡ | Lee Ainslie - Maverick Capital | Buy | 10,761 | 0.07 | |
Q4  2019 | |||||
≡ | Chris Hohn - TCI Fund Management | Buy | 173,700 | 0.26 | |
Q2  2016 | |||||
≡ | Lee Ainslie - Maverick Capital | Add 77.14% | 508,078 | 1.53 | |
Q1  2016 | |||||
≡ | Stephen Mandel - Lone Pine Capital | Add 52.42% | 1,117,695 | 1.12 | |
≡ | Lee Ainslie - Maverick Capital | Buy | 658,618 | 2.06 | |
Q4  2015 | |||||
≡ | Stephen Mandel - Lone Pine Capital | Buy | 2,132,094 | 1.79 | |
Q1  2013 | |||||
≡ | Richard Pzena - Hancock Classic Value | Add 42.65% | 237,750 | 0.79 | |
Q3  2010 | |||||
≡ | Richard Pzena - Hancock Classic Value | Add 1.73% | 27,307 | 0.08 | |
Q3  2009 | |||||
≡ | Richard Pzena - Hancock Classic Value | Add 8.81% | 163,550 | 0.34 | |
Q4  2008 | |||||
≡ | Richard Pzena - Hancock Classic Value | Add 28.68% | 482,525 | 0.95 | |
≡ | Bruce Berkowitz - Fairholme Capital | Buy | 7,545,300 | 5.86 | |
Q2  2008 | |||||
≡ | Richard Pzena - Hancock Classic Value | Add 31.04% | 398,450 | 0.69 | |
Q3  2007 | |||||
≡ | Richard Pzena - Hancock Classic Value | Add 29.97% | 583,025 | 0.53 |
* "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.