Causeway Capital Management LLCNVS history

Issuer:
NOVARTIS AG
Quarters tracked:
49 (Q2 2014Q2 2026)
Current shares:
1,501
Current value:
$235K
Peak shares:
461,962 (Q2 2018)
Overall change:
-100%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 20261,501$235K$156.56+14+1%
Q1 20261,487$227K$152.66-448-23%
Q4 20251,935$267K$137.98-119-6%
Q3 20252,054$263K$128.04-30-1%
Q2 20252,084$252K$120.92-2,152-51%
Q1 20254,236$472K$111.43-1,630-28%
Q4 20245,866$571K$97.34-1,516-21%
Q3 20247,382$849K$115.01-194,953-96%
Q2 2024202,335$21.54M$106.46-37,133-16%
Q1 2024239,468$23.16M$96.73+30,379+15%
Q4 2023209,089$21.11M$100.97+22,070+12%
Q3 2023187,019$19.05M$101.86-38,529-17%
Q2 2023225,548$22.76M$100.91-20,159-8%
Q1 2023245,707$22.61M$92.00+22,875+10%
Q4 2022222,832$20.21M$90.72-47,998-18%
Q3 2022270,830$20.59M$76.01-41,511-13%
Q2 2022312,341$26.40M$84.53-79,421-20%
Q1 2022391,762$34.38M$87.75+9,795+3%
Q4 2021381,967$33.41M$87.47-19,149-5%
Q3 2021401,116$32.80M$81.78-25,866-6%
Q2 2021426,982$38.96M$91.24+29,624+7%
Q1 2021397,358$33.97M$85.48+91,780+30%
Q4 2020305,578$28.86M$94.43-9,440-3%
Q3 2020315,018$27.39M$86.96-11,168-3%
Q2 2020326,186$28.49M$87.34-5480%
Q1 2020326,734$26.94M$82.45+32,835+11%
Q4 2019293,899$27.83M$94.69+36,049+14%
Q3 2019257,850$22.41M$86.90-19,489-7%
Q2 2019277,339$25.32M$91.31-5,391-2%
Q1 2019282,730$27.18M$96.14-10,058-3%
Q4 2018292,788$25.12M$85.81-157,344-35%
Q3 2018450,132$38.78M$86.16-11,830-3%
Q2 2018461,962$34.90M$75.54+50,885+12%
Q1 2018411,077$33.24M$80.85+73,335+22%
Q4 2017337,742$28.36M$83.96+27,228+9%
Q3 2017310,514$26.66M$85.85-58,492-16%
Q2 2017369,006$30.80M$83.47+30,857+9%
Q1 2017338,149$25.11M$74.27+20,131+6%
Q4 2016318,018$22.56M$70.94-3,240-1%
Q3 2016321,258$25.37M$78.96+1,907+1%
Q2 2016319,351$26.35M$82.51+2,989+1%
Q1 2016316,362$24.03M$75.97+34,652+12%
Q4 2015281,710$24.24M$86.04+19,044+7%
Q3 2015262,666$24.14M$91.92+25,952+11%
Q2 2015236,714$23.28M$98.34+14,062+6%
Q1 2015222,652$21.96M$98.61-113,626-34%
Q4 2014336,278$31.16M$92.66+2,107+1%
Q3 2014334,171$31.46M$94.13+13,319+4%
Q2 2014320,852$27.89M$86.94NEW