Prosus NV (PROSF)
Sector: | Technology |
Super Investor Stats: | |
Ownership count: | 1 |
Ownership rank: | 665 |
% of all portfolios: | 0.025% |
History | Portfolio Manager | Activity ▼ | Share change | % change to portfolio | |
Q4  2023 | |||||
≡ | Steven Romick - FPA Crescent Fund | Buy | 2,882,508 | 1.44 | |
Q4  2022 | |||||
≡ | Steven Romick - FPA Crescent Fund | Sell 100.00% | 2,258,811 | 2.29 | |
Q3  2022 | |||||
≡ | Steven Romick - FPA Crescent Fund | Reduce 4.92% | 116,909 | 0.12 | |
Q2  2022 | |||||
≡ | Steven Romick - FPA Crescent Fund | Reduce 2.22% | 53,920 | 0.06 | |
Q1  2022 | |||||
≡ | Steven Romick - FPA Crescent Fund | Reduce 0.03% | 649 | 0.00 | |
≡ | Ruane Cunniff - Sequoia Fund | Sell 100.00% | 1,973,651 | 3.40 | |
Q4  2021 | |||||
≡ | Steven Romick - FPA Crescent Fund | Add 0.24% | 5,795 | 0.01 | |
≡ | Ruane Cunniff - Sequoia Fund | Reduce 1.55% | 31,128 | 0.05 | |
Q3  2021 | |||||
≡ | Steven Romick - FPA Crescent Fund | Add 149.82% | 1,453,994 | 1.63 | |
≡ | Ruane Cunniff - Sequoia Fund | Add 33.70% | 505,301 | 0.85 | |
Q1  2021 | |||||
≡ | Steven Romick - FPA Crescent Fund | Reduce 9.47% | 101,480 | 0.16 | |
Q4  2020 | |||||
≡ | Steven Romick - FPA Crescent Fund | Reduce 7.64% | 88,647 | 0.13 | |
Q3  2020 | |||||
≡ | Ruane Cunniff - Sequoia Fund | Reduce 0.19% | 2,915 | 0.01 | |
Q2  2020 | |||||
≡ | Ruane Cunniff - Sequoia Fund | Reduce 0.04% | 562 | 0.00 | |
≡ | Steven Romick - FPA Crescent Fund | Reduce 8.89% | 113,242 | 0.15 | |
Q1  2020 | |||||
≡ | Steven Romick - FPA Crescent Fund | Reduce 10.57% | 150,486 | 0.16 | |
≡ | Ruane Cunniff - Sequoia Fund | Reduce 15.23% | 269,943 | 0.65 | |
Q4  2019 | |||||
≡ | Ruane Cunniff - Sequoia Fund | Add 210.14% | 1,201,259 | 2.34 | |
Q3  2019 | |||||
≡ | Ruane Cunniff - Sequoia Fund | Buy | 571,639 | 1.15 | |
≡ | Steven Romick - FPA Crescent Fund | Buy | 1,424,355 | 1.14 |
* "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.