Causeway Capital Management LLCBTI history

Issuer:
BRITISH AMERICAN TOBACCO PLC
Quarters tracked:
49 (Q2 2014Q2 2026)
Current shares:
547,925
Current value:
$33.84M
Peak shares:
978,380 (Q2 2019)
Overall change:
+141%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026547,925$33.84M$61.76+47,061+9%
Q1 2026500,864$29.29M$58.47+17,726+4%
Q4 2025483,138$27.36M$56.62+24,435+5%
Q3 2025458,703$24.35M$53.08-71,896-14%
Q2 2025530,599$25.11M$47.33-78,328-13%
Q1 2025608,927$25.19M$41.37-20,985-3%
Q4 2024629,912$22.88M$36.32-124,989-17%
Q3 2024754,901$27.61M$36.58+22,078+3%
Q2 2024732,823$22.67M$30.93+36,632+5%
Q1 2024696,191$21.23M$30.50+139,892+25%
Q4 2023556,299$16.29M$29.29-3,866-1%
Q3 2023560,165$17.59M$31.41+235,085+72%
Q2 2023325,080$10.79M$33.20+131,253+68%
Q1 2023193,827$6.81M$35.12+8,623+5%
Q4 2022185,204$7.40M$39.98-83,624-31%
Q3 2022268,828$9.54M$35.50-61,716-19%
Q2 2022330,544$14.18M$42.91-81,380-20%
Q1 2022411,924$17.37M$42.16-60,394-13%
Q4 2021472,318$17.67M$37.41-19,491-4%
Q3 2021491,809$17.35M$35.28+6340%
Q2 2021491,175$19.31M$39.31-71,609-13%
Q1 2021562,784$21.80M$38.74+14,303+3%
Q4 2020548,481$20.56M$37.49-132,570-19%
Q3 2020681,051$24.62M$36.15+32,228+5%
Q2 2020648,823$25.19M$38.82-135,020-17%
Q1 2020783,843$26.80M$34.19-60,147-7%
Q4 2019843,990$35.84M$42.46-9,286-1%
Q3 2019853,276$31.49M$36.90-125,104-13%
Q2 2019978,380$34.12M$34.87+30,116+3%
Q1 2019948,264$39.56M$41.72+11,382+1%
Q4 2018936,882$29.85M$31.86+84,511+10%
Q3 2018852,371$39.75M$46.63+92,417+12%
Q2 2018759,954$38.34M$50.45+4240%
Q1 2018759,530$43.82M$57.69+175,246+30%
Q4 2017584,284$39.14M$66.99+46,058+9%
Q3 2017538,226$33.61M$62.45+115,041+27%
Q2 2017423,185$29.00M$68.54+17,797+4%
Q1 2017405,388$26.89M$66.32+195,681+93%
Q4 2016209,707$22.98M$109.56+7,250+4%
Q3 2016202,457$25.84M$127.65-27,903-12%
Q2 2016230,360$29.83M$129.48+2,139+1%
Q1 2016228,221$27.88M$122.15-63,562-22%
Q4 2015291,783$32.23M$110.45+5,975+2%
Q3 2015285,808$31.46M$110.08+32,244+13%
Q2 2015253,564$27.45M$108.25+34,007+15%
Q1 2015219,557$22.78M$103.77-25,786-11%
Q4 2014245,343$26.45M$107.82+11,876+5%
Q3 2014233,467$26.40M$113.08+5,990+3%
Q2 2014227,477$26.71M$117.40NEW