Jensen Investment Management IncCTSH history

Issuer:
Cognizant Technology Solutions
Quarters tracked:
48 (Q3 2013Q2 2026)
Current shares:
103,867
Current value:
$4.02M
Peak shares:
5,390,294 (Q1 2021)
Overall change:
-96%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026103,867$4.02M$38.73-2,550-2%
Q1 2026106,417$6.53M$61.35-1,309-1%
Q4 2025107,726$8.94M$83.00-16,000-13%
Q3 2025123,726$8.30M$67.0700%
Q2 2025123,726$9.65M$78.03-1,283-1%
Q1 2025125,009$9.56M$76.50-6000%
Q4 2024125,609$9.66M$76.9000%
Q3 2024125,609$9.70M$77.18-550%
Q2 2024125,664$8.54M$68.00-4,596-4%
Q1 2024130,260$9.55M$73.29-800-1%
Q4 2023131,060$9.90M$75.53-674-1%
Q3 2023131,734$8.92M$67.74-3200%
Q2 2023132,054$8.62M$65.28-7,586-5%
Q1 2023139,640$8.35M$59.81-34,103-20%
Q4 2022173,743$9.94M$57.19-3,902,443-96%
Q3 20224,076,186$234.14M$57.44-15,8950%
Q2 20224,092,081$276.18M$67.49-919,193-18%
Q1 20225,011,274$449.36M$89.67+34,673+1%
Q4 20214,976,601$441.52M$88.72-38,865-1%
Q3 20215,015,466$372.20M$74.21-327,164-6%
Q2 20215,342,630$370.03M$69.26-47,664-1%
Q1 20215,390,294$421.09M$78.12+82,738+2%
Q4 20205,307,556$434.95M$81.95+22,7360%
Q3 20205,284,820$366.87M$69.42-200%
Q2 20205,284,840$300.29M$56.82-6,8760%
Q1 20205,291,716$245.91M$46.47+506,915+11%
Q4 20194,784,801$296.75M$62.02+311,040+7%
Q3 20194,473,761$269.61M$60.26+91,675+2%
Q2 20194,382,086$277.78M$63.39+822,432+23%
Q1 20193,559,654$257.90M$72.45+710,914+25%
Q4 20182,848,740$180.84M$63.48+9,4850%
Q3 20182,839,255$219.05M$77.15-4650%
Q2 20182,839,720$224.31M$78.99-96,510-3%
Q1 20182,936,230$236.37M$80.50+2,9450%
Q4 20172,933,285$208.32M$71.02+527,239+22%
Q3 20172,406,046$174.53M$72.54-13,260-1%
Q2 20172,419,306$160.64M$66.40-67,585-3%
Q1 20172,486,891$148.02M$59.52-5,6750%
Q4 20162,492,566$139.66M$56.03-1,5600%
Q3 20162,494,126$119.00M$47.71-514,238-17%
Q2 20163,008,364$172.20M$57.24-56,639-2%
Q1 20163,065,003$192.18M$62.70+515,800+20%
Q4 20152,549,203$153.00M$60.02+2400%
Q3 20152,548,963$159.59M$62.61-213,234-8%
Q4 20142,762,197$145.46M$52.66-687,959-20%
Q3 20143,450,156$154.46M$44.77-108,960-3%
Q2 20143,559,116$174.08M$48.91+842,723+31%
Q3 20132,716,393$223.07M$82.12NEW