Sound Shore Management IncPFE history

Issuer:
Pfizer Inc
Quarters tracked:
37 (Q1 2016Q1 2026)
Current shares:
2,870,421
Current value:
$80.60M
Peak shares:
5,843,013 (Q4 2017)
Overall change:
-33%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 20262,870,421$80.60M$28.08+2,870,421+100%
Q4 2024SOLD-2,748,790-100%
Q3 20242,748,790$79.55M$28.94-87,267-3%
Q2 20242,836,057$79.35M$27.98+279,825+11%
Q1 20242,556,232$70.94M$27.75+937,326+58%
Q4 20231,618,906$46.61M$28.79-46,741-3%
Q3 20231,665,647$55.25M$33.17-126,900-7%
Q2 20231,792,547$65.75M$36.68-647,521-27%
Q1 20232,440,068$99.56M$40.80+558,190+30%
Q4 20221,881,878$96.43M$51.24+120,072+7%
Q3 20221,761,806$77.10M$43.76+555,152+46%
Q2 20221,206,654$63.27M$52.43-757,555-39%
Q1 20221,964,209$101.69M$51.77-348,776-15%
Q4 20212,312,985$136.58M$59.05+420,184+22%
Q3 20211,892,801$81.41M$43.01-706,577-27%
Q2 20212,599,378$101.79M$39.16+417,045+19%
Q1 20212,182,333$79.07M$36.23-64,682-3%
Q4 20202,247,015$82.71M$36.81-446,211-17%
Q3 20202,693,226$98.84M$36.70-784,172-23%
Q2 20203,477,398$113.71M$32.70+115,904+3%
Q1 20203,361,494$109.72M$32.64+1,072,931+47%
Q4 20192,288,563$89.67M$39.18+2,288,563+100%
Q3 2019SOLD-3,165,742-100%
Q2 20193,165,742$137.14M$43.32-123,849-4%
Q1 20193,289,591$139.71M$42.47-6,6170%
Q4 20183,296,208$143.88M$43.65-2,045,649-38%
Q3 20185,341,857$235.42M$44.07-204,653-4%
Q2 20185,546,510$201.23M$36.28-200,596-3%
Q1 20185,747,106$203.97M$35.49-95,907-2%
Q4 20175,843,013$211.63M$36.22+504,794+9%
Q3 20175,338,219$190.57M$35.70+584,198+12%
Q2 20174,754,021$159.69M$33.59-1,063,671-18%
Q1 20175,817,692$199.02M$34.21+795,567+16%
Q4 20165,022,125$163.12M$32.48-62,933-1%
Q3 20165,085,058$172.23M$33.87+625,818+14%
Q2 20164,459,240$157.01M$35.21+176,245+4%
Q1 20164,282,995$126.95M$29.64NEW