Davis Selected Advisers LPMETA history

Issuer:
Meta Platforms, Inc., Class A
Quarters tracked:
43 (Q4 2015Q2 2026)
Current shares:
1,648,172
Current value:
$928.73M
Peak shares:
6,538,326 (Q4 2022)
Overall change:
-33%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 20261,648,172$928.73M$563.49-70,984-4%
Q1 20261,719,156$983.59M$572.14-33,818-2%
Q4 20251,752,974$1.16B$660.10+37,460+2%
Q3 20251,715,514$1.26B$734.38-392,300-19%
Q2 20252,107,814$1.56B$738.09-102,436-5%
Q1 20252,210,250$1.27B$576.36-282,347-11%
Q4 20242,492,597$1.46B$585.51-222,289-8%
Q3 20242,714,886$1.55B$572.44-344,631-11%
Q2 20243,059,517$1.54B$504.22-19,347-1%
Q1 20243,078,864$1.50B$485.58-878,788-22%
Q4 20233,957,652$1.40B$353.96-931,254-19%
Q3 20234,888,906$1.47B$300.21-826,411-14%
Q2 20235,715,317$1.64B$286.98-552,059-9%
Q1 20236,267,376$1.33B$211.94-270,950-4%
Q4 20226,538,326$786.82M$120.34+2,284,011+54%
Q3 20224,254,315$577.23M$135.68+949,362+29%
Q2 20223,304,953$532.92M$161.25-47,307-1%
Q1 20223,352,260$745.41M$222.36+696,057+26%
Q4 20212,656,203$893.41M$336.35-31,471-1%
Q3 20212,687,674$912.17M$339.39-501,467-16%
Q2 20213,189,141$1.11B$347.71+12,4320%
Q1 20213,176,709$935.64M$294.53-110,828-3%
Q4 20203,287,537$898.02M$273.16-418,626-11%
Q3 20203,706,163$970.64M$261.90-467,415-11%
Q2 20204,173,578$947.69M$227.07-14,6760%
Q1 20204,188,254$698.60M$166.80-135,769-3%
Q4 20194,324,023$887.51M$205.25-142,625-3%
Q3 20194,466,648$795.42M$178.08-191,068-4%
Q2 20194,657,716$898.94M$193.00-655,249-12%
Q1 20195,312,965$885.62M$166.69+45,432+1%
Q4 20185,267,533$691.28M$131.23+289,382+6%
Q3 20184,978,151$818.71M$164.46-86,207-2%
Q2 20185,064,358$984.11M$194.32+1,173,309+30%
Q1 20183,891,049$621.75M$159.79+494,801+15%
Q4 20173,396,248$599.30M$176.46+13,6360%
Q3 20173,382,612$577.50M$170.73-131,292-4%
Q2 20173,513,904$530.53M$150.98-155,225-4%
Q1 20173,669,129$521.20M$142.05+349,888+11%
Q4 20163,319,241$381.88M$115.05+898,990+37%
Q3 20162,420,251$310.45M$128.27-178,998-7%
Q2 20162,599,249$297.04M$114.28+71,084+3%
Q1 20162,528,165$288.46M$114.10+56,727+2%
Q4 20152,471,438$258.66M$104.66NEW