nVent Electric plc (NVT)

Sector:Technology
Super Investor Stats:
Ownership count:2
Ownership rank:348
% of all portfolios:0.038%
Hold Price * :$70.26
History Portfolio Manager Activity Share change % change to portfolio
Q2  2024
Mairs & Power Growth Fund Reduce 8.22% 118,078 0.16
John Rogers - Ariel Appreciation Fund Reduce 32.63% 95,106 0.77
Q1  2024
Mairs & Power Growth Fund Reduce 9.26% 146,662 0.20
John Rogers - Ariel Appreciation Fund Reduce 23.34% 88,759 0.63
Q4  2023
John Rogers - Ariel Appreciation Fund Reduce 16.71% 76,282 0.43
Mairs & Power Growth Fund Reduce 18.02% 348,000 0.41
Q3  2023
Mairs & Power Growth Fund Reduce 3.88% 78,000 0.09
John Rogers - Ariel Appreciation Fund Reduce 16.64% 91,159 0.49
Q2  2023
John Rogers - Ariel Appreciation Fund Reduce 24.77% 180,371 0.86
Q1  2023
Mairs & Power Growth Fund Reduce 2.29% 46,000 0.04
John Rogers - Ariel Appreciation Fund Reduce 11.53% 94,867 0.36
Q4  2022
Mairs & Power Growth Fund Reduce 4.54% 95,407 0.08
John Rogers - Ariel Appreciation Fund Reduce 8.37% 75,152 0.26
Q3  2022
Mairs & Power Growth Fund Reduce 3.45% 75,000 0.06
Q2  2021
Mairs & Power Growth Fund Reduce 5.64% 130,000 0.07
Q1  2021
Mairs & Power Growth Fund Reduce 17.08% 475,000 0.26
Q4  2020
Nelson Peltz - Trian Fund Management Sell 100.00% 5,827,483 1.70
Q3  2020
Nelson Peltz - Trian Fund Management Reduce 52.97% 6,563,959 1.91
Q2  2020
Nelson Peltz - Trian Fund Management Reduce 8.59% 1,164,379 0.39
Q1  2020
First Eagle Investment Management Sell 100.00% 329,729 0.02
Q4  2019
First Eagle Investment Management Reduce 71.36% 821,489 0.05
Harry Burn - Sound Shore Sell 100.00% 1,591,900 2.24
Q2  2019
Harry Burn - Sound Shore Reduce 1.45% 23,350 0.03
Nelson Peltz - Trian Fund Management Reduce 22.86% 4,016,812 1.05
Q4  2018
Harry Burn - Sound Shore Reduce 5.39% 92,100 0.13
Q3  2018
Mairs & Power Growth Fund Reduce 4.69% 60,000 0.04

* "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.