First Eagle Investment Management LLCHD history

Issuer:
HOME DEPOT INC
Quarters tracked:
32 (Q3 2014Q2 2026)
Current shares:
52,776
Current value:
$18.61M
Peak shares:
1,340,189 (Q3 2014)
Overall change:
-96%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 202652,776$18.61M$352.68+1,941+4%
Q1 202650,835$16.72M$328.89+2,163+4%
Q4 202548,672$16.75M$344.10-273-1%
Q3 202548,945$19.83M$405.19-992-2%
Q2 202549,937$18.31M$366.64-559-1%
Q1 202550,496$18.51M$366.48-1,566-3%
Q4 202452,062$20.25M$389.00-2,848-5%
Q3 202454,910$22.25M$405.21-437-1%
Q2 202455,347$19.05M$344.25-583-1%
Q1 202455,930$21.45M$383.60-2080%
Q4 202356,138$19.45M$346.56+2650%
Q3 202355,873$16.88M$302.1700%
Q2 202355,873$17.36M$310.63-560%
Q1 202355,929$16.51M$295.12+1,426+3%
Q4 202254,503$17.21M$315.85-2490%
Q3 202254,752$15.11M$275.94-628-1%
Q2 202255,380$15.19M$274.27-372-1%
Q1 202255,752$16.69M$299.33+900%
Q4 202155,662$23.10M$415.00-1,240-2%
Q3 202156,902$18.68M$328.27-490-1%
Q2 202157,392$18.30M$318.89+13,925+32%
Q1 202143,467$13.27M$305.2400%
Q4 202043,467$11.55M$265.63-440-1%
Q3 202043,907$12.19M$277.70+43,907+100%
Q2 2016SOLD-69,319-100%
Q1 201669,319$9.25M$133.43-268,179-79%
Q4 2015337,498$44.63M$132.25+337,498+100%
Q3 2015SOLD-1,193,747-100%
Q2 20151,193,747$132.66M$111.13+900,077+306%
Q1 2015293,670$33.36M$113.61-423,775-59%
Q4 2014717,445$75.31M$104.97-622,744-46%
Q3 20141,340,189$122.95M$91.74NEW