Qualys Inc. (QLYS)

Sector:Technology
Super Investor Stats:
Ownership count:3
Ownership rank:206
% of all portfolios:0.006%
Hold Price * :$128.46
History Portfolio Manager Activity Share change % change to portfolio
Q2  2024
Torray Funds Add 27.80% 2,472 0.05
Q1  2024
Lee Ainslie - Maverick Capital Add 74.27% 1,596 0.00
Torray Funds Add 1.76% 154 0.00
Q4  2023
Lee Ainslie - Maverick Capital Add 5.81% 118 0.00
Torray Funds Add 0.56% 49 0.00
Q3  2023
Torray Funds Add 2.67% 226 0.01
Q2  2023
Torray Funds Add 0.80% 67 0.00
Q1  2023
Lee Ainslie - Maverick Capital Add 175.80% 4,926 0.02
Torray Funds Add 1.19% 99 0.00
Q4  2022
Lee Ainslie - Maverick Capital Add 67.68% 1,131 0.00
Q3  2022
Polen Capital Management Add 12.33% 12,182 0.00
Lee Ainslie - Maverick Capital Buy 1,671 0.01
Q2  2022
Torray Funds Add 0.45% 40 0.00
Q1  2022
Polen Capital Management Add 15.25% 15,195 0.00
Q4  2021
Polen Capital Management Add 28.63% 22,186 0.00
Terry Smith - Fundsmith Add 0.22% 2,310 0.00
Q3  2021
Polen Capital Management Add 9.24% 6,553 0.00
Terry Smith - Fundsmith Add 0.36% 3,839 0.00
Q2  2021
Torray Funds Add 15.13% 2,310 0.03
Polen Capital Management Add 6.40% 4,265 0.00
Terry Smith - Fundsmith Add 0.53% 5,608 0.00
Q1  2021
Polen Capital Management Add 24.36% 13,058 0.00
Terry Smith - Fundsmith Add 13.63% 127,279 0.04
Q4  2020
Polen Capital Management Add 29.24% 12,129 0.00
Terry Smith - Fundsmith Add 14.76% 120,067 0.05
Q3  2020
Polen Capital Management Add 98.03% 20,533 0.00
Terry Smith - Fundsmith Add 30.44% 189,908 0.07
Torray Funds Add 0.84% 160 0.00
Q2  2020
Terry Smith - Fundsmith Buy 623,812 0.28
Polen Capital Management Buy 20,945 0.01
Q1  2020
Torray Funds Add 24.04% 3,680 0.07
Lee Ainslie - Maverick Capital Buy 13,921 0.03
Q3  2019
Torray Funds Add 0.18% 34 0.00
Q1  2019
Torray Funds Add 0.47% 96 0.00
Q4  2018
Torray Funds Add 10.88% 2,012 0.02

* "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.