Dodge & CoxBKNG history

Issuer:
Booking Holdings, Inc.
Quarters tracked:
33 (Q1 2018Q1 2026)
Current shares:
997,498
Current value:
$4.20B
Peak shares:
1,710,069 (Q1 2020)
Overall change:
+36%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 2026997,498$4.20B$4210.32+265,417+36%
Q4 2025732,081$3.92B$5355.33+56,999+8%
Q3 2025675,082$3.64B$5399.27-55,391-8%
Q2 2025730,473$4.23B$5789.24-45,535-6%
Q1 2025776,008$3.57B$4606.91-7,564-1%
Q4 2024783,572$3.89B$4968.42-5,586-1%
Q3 2024789,158$3.32B$4212.12-6460%
Q2 2024789,804$3.13B$3961.50-2,2420%
Q1 2024792,046$2.87B$3627.88-1,8760%
Q4 2023793,922$2.82B$3547.22-5,233-1%
Q3 2023799,155$2.46B$3083.95-7,624-1%
Q2 2023806,779$2.18B$2700.33-19,952-2%
Q1 2023826,731$2.19B$2652.41-5,563-1%
Q4 2022832,294$1.68B$2015.28-19,580-2%
Q3 2022851,874$1.40B$1643.21+1,7030%
Q2 2022850,171$1.49B$1748.99-16,958-2%
Q1 2022867,129$2.04B$2348.45+38,707+5%
Q4 2021828,422$1.99B$2399.23-32,959-4%
Q3 2021861,381$2.04B$2373.87-35,916-4%
Q2 2021897,297$1.96B$2188.09-20,108-2%
Q1 2021917,405$2.14B$2329.84-241,662-21%
Q4 20201,159,067$2.58B$2227.27-81,352-7%
Q3 20201,240,419$2.12B$1710.68-233,715-16%
Q2 20201,474,134$2.35B$1592.34-235,935-14%
Q1 20201,710,069$2.30B$1345.32+285,064+20%
Q4 20191,425,005$2.93B$2053.73-19,587-1%
Q3 20191,444,592$2.84B$1962.61+2,0930%
Q2 20191,442,499$2.70B$1874.71+260,987+22%
Q1 20191,181,512$2.06B$1744.91+20,575+2%
Q4 20181,160,937$2.00B$1722.42+49,551+4%
Q3 20181,111,386$2.20B$1984.00+423,004+61%
Q2 2018688,382$1.40B$2027.09-42,648-6%
Q1 2018731,030$1.52B$2080.39NEW