Simon Property Group Inc. (SPG)

Sector:Financials
Super Investor Stats:
Ownership count:2
Ownership rank:347
% of all portfolios:0.036%
Hold Price * :$169.03
History Portfolio Manager Activity Share change % change to portfolio
Q3  2024
Christopher Davis - Davis Advisors Reduce 1.83% 1,560 0.00
Hillman Value Fund Reduce 12.35% 5,100 0.39
Q2  2024
Christopher Davis - Davis Advisors Reduce 20.88% 22,470 0.02
Q1  2024
Christopher Davis - Davis Advisors Reduce 3.30% 3,670 0.00
Hillman Value Fund Reduce 17.40% 8,700 0.56
Q4  2023
Christopher Davis - Davis Advisors Reduce 13.15% 16,850 0.01
Q3  2023
Christopher Davis - Davis Advisors Reduce 4.93% 6,640 0.00
Q2  2023
Christopher Davis - Davis Advisors Add 2.79% 3,660 0.00
Q1  2023
Christopher Davis - Davis Advisors Add 0.64% 830 0.00
Bill Miller - Miller Value Partners Sell 100.00% 29,000 0.22
Q2  2022
Christopher Davis - Davis Advisors Add 0.22% 290 0.00
Bill Miller - Miller Value Partners Buy 29,000 0.15
Q1  2022
Christopher Davis - Davis Advisors Reduce 1.50% 1,980 0.00
Q4  2021
Christopher Davis - Davis Advisors Reduce 11.16% 16,570 0.01
Q3  2021
Christopher Davis - Davis Advisors Reduce 0.68% 1,010 0.00
Q2  2021
Hillman Value Fund Add 16.28% 7,000 0.46
Christopher Davis - Davis Advisors Reduce 2.16% 3,300 0.00
Q1  2021
Christopher Davis - Davis Advisors Add 25.42% 30,980 0.02
Q4  2020
Christopher Davis - Davis Advisors Reduce 0.07% 80 0.00
Bruce Berkowitz - Fairholme Capital Sell 100.00% 52,200 0.52
Q3  2020
Bruce Berkowitz - Fairholme Capital Add 80.00% 23,200 0.23
Christopher Davis - Davis Advisors Reduce 36.19% 69,150 0.02
Q2  2020
Hillman Value Fund Add 100.00% 21,500 1.59
Christopher Davis - Davis Advisors Reduce 35.25% 104,020 0.04
Bruce Berkowitz - Fairholme Capital Reduce 40.82% 20,000 0.23
Q1  2020
Christopher Davis - Davis Advisors Add 30.92% 69,700 0.03
Hillman Value Fund Add 7.50% 1,500 0.12
Bruce Berkowitz - Fairholme Capital Buy 49,000 0.53
Q4  2019
Hillman Value Fund Add 53.85% 7,000 1.18
Q3  2019
Hillman Value Fund Buy 13,000 3.36

* "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.