First Eagle Investment Management LLCFLS history

Issuer:
FLOWSERVE CORP
Quarters tracked:
46 (Q1 2015Q2 2026)
Current shares:
177,409
Current value:
$13.16M
Peak shares:
13,059,375 (Q3 2017)
Overall change:
-95%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026177,409$13.16M$74.16+65,650+59%
Q1 2026111,759$8.21M$73.51+29,705+36%
Q4 202582,054$5.69M$69.38+82,054+100%
Q3 2025SOLD-3,909,570-100%
Q2 20253,909,570$204.67M$52.35-77,221-2%
Q1 20253,986,791$194.72M$48.84-3,752,067-48%
Q4 20247,738,858$445.14M$57.52-3,026,108-28%
Q3 202410,764,966$556.44M$51.69+5,3650%
Q2 202410,759,601$517.54M$48.10+23,6380%
Q1 202410,735,963$490.42M$45.68+16,3080%
Q4 202310,719,655$441.86M$41.22-26,7400%
Q3 202310,746,395$427.38M$39.77-189,909-2%
Q2 202310,936,304$406.28M$37.15-83,613-1%
Q1 202311,019,917$374.68M$34.00+10,9810%
Q4 202211,008,936$337.75M$30.68+279,330+3%
Q3 202210,729,606$260.73M$24.30-41,0570%
Q2 202210,770,663$308.36M$28.63-9,0270%
Q1 202210,779,690$386.99M$35.90-9,0630%
Q4 202110,788,753$330.14M$30.60-73,528-1%
Q3 202110,862,281$376.60M$34.67-184,956-2%
Q2 202111,047,237$445.43M$40.32-130,562-1%
Q1 202111,177,799$433.81M$38.81+37,7960%
Q4 202011,140,003$410.51M$36.85-318,693-3%
Q3 202011,458,696$312.71M$27.29-385,447-3%
Q2 202011,844,143$337.80M$28.52-277,410-2%
Q1 202012,121,553$289.58M$23.89+5,4710%
Q4 201912,116,082$603.02M$49.77+53,1500%
Q3 201912,062,932$563.46M$46.71-64,174-1%
Q2 201912,127,106$638.98M$52.69-384,034-3%
Q1 201912,511,140$564.75M$45.14-129,131-1%
Q4 201812,640,271$480.58M$38.02-240,900-2%
Q3 201812,881,171$704.47M$54.69-60,3860%
Q2 201812,941,557$522.84M$40.40-47,8700%
Q1 201812,989,427$562.83M$43.33+21,1620%
Q4 201712,968,265$546.35M$42.13-91,110-1%
Q3 201713,059,375$556.20M$42.59+276,377+2%
Q2 201712,782,998$593.51M$46.43+239,562+2%
Q1 201712,543,436$607.35M$48.42+534,815+4%
Q4 201612,008,621$577.01M$48.05+10,4320%
Q3 201611,998,189$578.79M$48.24-23,7780%
Q2 201612,021,967$543.03M$45.17+30,5830%
Q1 201611,991,384$532.54M$44.41+2,254,835+23%
Q4 20159,736,549$409.71M$42.08+9,736,549+100%
Q3 2015SOLD-4,598,703-100%
Q2 20154,598,703$242.17M$52.66+1,128,061+33%
Q1 20153,470,642$196.06M$56.49NEW