Davis Selected Advisers LPESS history

Issuer:
Essex Property Trust, Inc.
Quarters tracked:
49 (Q2 2014Q2 2026)
Current shares:
28,501
Current value:
$8.31M
Peak shares:
132,244 (Q2 2014)
Overall change:
-78%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 202628,501$8.31M$291.60+11,740+70%
Q1 202616,761$4.06M$241.99+250+2%
Q4 202516,511$4.32M$261.70-440-3%
Q3 202516,951$4.54M$267.65-11,590-41%
Q2 202528,541$8.09M$283.42+810+3%
Q1 202527,731$8.50M$306.55-5,510-17%
Q4 202433,241$9.49M$285.43-210-1%
Q3 202433,451$9.88M$295.42-12,820-28%
Q2 202446,271-400%
Q1 202446,311$11.34M$244.80-9,440-17%
Q4 202355,751$13.82M$247.94-1,440-3%
Q3 202357,191$12.13M$212.10-11,030-16%
Q2 202368,221$15.98M$234.30+3,190+5%
Q1 202365,031$13.60M$209.15+4,870+8%
Q4 202260,161$12.75M$211.91+8,870+17%
Q3 202251,291$12.42M$242.2300%
Q2 202251,291$13.41M$261.51+1,770+4%
Q1 202249,521$17.11M$345.49+710+1%
Q4 202148,811$17.19M$352.24-5,560-10%
Q3 202154,371$17.39M$319.75-16,590-23%
Q2 202170,961$21.29M$300.01-10,500-13%
Q1 202181,461$22.14M$271.84+13,460+20%
Q4 202068,001$16.14M$237.42-1,590-2%
Q3 202069,591$13.97M$200.79+1,240+2%
Q2 202068,351$15.66M$229.17+3200%
Q1 202068,031$14.98M$220.24+3,980+6%
Q4 201964,051$19.27M$300.85-4,300-6%
Q3 201968,351$22.33M$326.65+1,760+3%
Q2 201966,591$19.44M$291.93-1,900-3%
Q1 201968,491$19.81M$289.24+1300%
Q4 201868,361$16.76M$245.21+4,489+7%
Q3 201863,872$15.76M$246.71-1,274-2%
Q2 201865,146$15.57M$239.06+4,820+8%
Q1 201860,326$14.52M$240.68-23,110-28%
Q4 201783,436$20.14M$241.37+1600%
Q3 201783,276$21.16M$254.03+1400%
Q2 201783,136$21.39M$257.27-1150%
Q1 201783,251$19.27M$231.53+2190%
Q4 201683,032$19.30M$232.50+1,324+2%
Q3 201681,708$18.20M$222.70+10%
Q2 201681,707$18.64M$228.10+16,743+26%
Q1 201664,964$15.19M$233.85+5,279+9%
Q4 201559,685$14.29M$239.41+5,026+9%
Q3 201554,659$12.21M$223.42-14,965-21%
Q2 201569,624$14.79M$212.50-29,982-30%
Q1 201599,606$22.90M$229.90+12,637+15%
Q4 201486,969$17.97M$206.60-3,741-4%
Q3 201490,710$16.21M$178.75-41,534-31%
Q2 2014132,244$24.45M$184.91NEW