First Eagle Investment Management LLCELV history

Issuer:
ELEVANCE HEALTH INC FORMERLY
Quarters tracked:
47 (Q4 2014Q2 2026)
Current shares:
4,188,196
Current value:
$1.62B
Peak shares:
4,188,196 (Q2 2026)
Overall change:
+42%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 20264,188,196$1.62B$386.73+55,905+1%
Q1 20264,132,291$1.21B$292.75+109,417+3%
Q4 20254,022,874$1.41B$350.55+24,271+1%
Q3 20253,998,603$1.29B$323.12+798,457+25%
Q2 20253,200,146$1.24B$388.96-41,215-1%
Q1 20253,241,361$1.41B$434.96+16,0220%
Q4 20243,225,339$1.19B$368.90+1,039,612+48%
Q3 20242,185,727$1.14B$520.00+127,444+6%
Q2 20242,058,283$1.12B$541.86+275,708+15%
Q1 20241,782,575$924.34M$518.54+4,0880%
Q4 20231,778,487$838.66M$471.56-4,2980%
Q3 20231,782,785$776.26M$435.42-22,364-1%
Q2 20231,805,149$802.01M$444.29+9,529+1%
Q1 20231,795,620$825.64M$459.81+5,1190%
Q4 20221,790,501$918.47M$512.97-49,429-3%
Q3 20221,839,930$835.77M$454.24-171,070-9%
Q2 20222,011,000$970.47M$482.58-17,985-1%
Q1 20222,028,985$996.68M$491.22+11,129+1%
Q4 20212,017,856$935.36M$463.54-28,584-1%
Q3 20212,046,440$762.91M$372.80+92,057+5%
Q2 20211,954,383$746.18M$381.80-25,673-1%
Q1 20211,980,056$710.74M$358.95-52,299-3%
Q4 20202,032,355$652.57M$321.09-135,698-6%
Q3 20202,168,053$582.32M$268.59+8,5700%
Q2 20202,159,483$567.90M$262.98+7,1540%
Q1 20202,152,329$488.67M$227.04+148,511+7%
Q4 20192,003,818$605.21M$302.03+340,886+20%
Q3 20191,662,932$399.27M$240.10-16,683-1%
Q2 20191,679,615$474.00M$282.21-157,778-9%
Q1 20191,837,393$527.29M$286.98-622,658-25%
Q4 20182,460,051$646.08M$262.63-492,060-17%
Q3 20182,952,111$809.03M$274.05-89,143-3%
Q2 20183,041,254$723.91M$238.03+92,719+3%
Q1 20182,948,535$647.79M$219.70-194,965-6%
Q4 20173,143,500$707.32M$225.01+39,608+1%
Q3 20173,103,892$589.37M$189.88+71,119+2%
Q2 20173,032,773$570.56M$188.13+43,843+1%
Q1 20172,988,930$494.31M$165.38+162,976+6%
Q4 20162,825,954$406.29M$143.77+2,3870%
Q3 20162,823,567$353.82M$125.31+492,541+21%
Q2 20162,331,026$306.16M$131.34+829,542+55%
Q1 20161,501,484$208.69M$138.99-1,6720%
Q4 20151,503,156$209.60M$139.44+1,503,156+100%
Q3 2015SOLD-1,646,420-100%
Q2 20151,646,420$270.24M$164.14-1,293,667-44%
Q1 20152,940,087$453.98M$154.41-6,3860%
Q4 20142,946,473$370.28M$125.67NEW