First Eagle Investment Management LLCWTW history

Issuer:
WILLIS TOWERS WATSON PLC LTD
Quarters tracked:
42 (Q1 2016Q2 2026)
Current shares:
4,475,860
Current value:
$1.17B
Peak shares:
5,568,252 (Q4 2023)
Overall change:
+27%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 20264,475,860$1.17B$261.37+136,499+3%
Q1 20264,339,361$1.26B$290.70+88,559+2%
Q4 20254,250,802$1.40B$328.60-14,3120%
Q3 20254,265,114$1.47B$345.45-28,435-1%
Q2 20254,293,549$1.32B$306.50-137,824-3%
Q1 20254,431,373$1.50B$337.95-25,557-1%
Q4 20244,456,930$1.40B$313.24-672,829-13%
Q3 20245,129,759$1.51B$294.53-248,121-5%
Q2 20245,377,880$1.41B$262.14-74,511-1%
Q1 20245,452,391$1.50B$275.00-115,861-2%
Q4 20235,568,252$1.34B$241.20+158,234+3%
Q3 20235,410,018$1.13B$208.96+445,775+9%
Q2 20234,964,243$1.17B$235.50+15,8570%
Q1 20234,948,386$1.15B$232.38+6,0830%
Q4 20224,942,303$1.21B$244.58+73,343+2%
Q3 20224,868,960$978.37M$200.94+38,853+1%
Q2 20224,830,107$953.41M$197.39+30,357+1%
Q1 20224,799,750$1.13B$236.22+62,050+1%
Q4 20214,737,700$1.13B$237.49-12,2430%
Q3 20214,749,943$1.10B$232.46+2,048,036+76%
Q2 20212,701,907$621.49M$230.02+308,717+13%
Q1 20212,393,190$547.75M$228.88+431,132+22%
Q4 20201,962,058$413.37M$210.68-32,733-2%
Q3 20201,994,791$416.55M$208.82-11,286-1%
Q2 20202,006,077$395.10M$196.95-233,801-10%
Q1 20202,239,878$380.44M$169.85-779,282-26%
Q4 20193,019,160$609.69M$201.94-331,557-10%
Q3 20193,350,717$646.59M$192.97-330,552-9%
Q2 20193,681,269$705.11M$191.54-227,019-6%
Q1 20193,908,288$686.49M$175.65-67,079-2%
Q4 20183,975,367$603.70M$151.86-55,832-1%
Q3 20184,031,199$568.16M$140.94+13,4360%
Q2 20184,017,763$609.09M$151.60-20,541-1%
Q1 20184,038,304$614.59M$152.19+17,8980%
Q4 20174,020,406$605.84M$150.69-7,4610%
Q3 20174,027,867$621.22M$154.23+64,659+2%
Q2 20173,963,208$576.49M$145.46+157,799+4%
Q1 20173,805,409$498.09M$130.89+281,867+8%
Q4 20163,523,542$430.86M$122.28-3270%
Q3 20163,523,869$467.86M$132.77-11,8810%
Q2 20163,535,750$439.53M$124.31+7,5260%
Q1 20163,528,224$418.66M$118.66NEW