Ariel Investments LLCAFL history

Issuer:
AFLAC INC
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
239,266
Current value:
$26.25M
Peak shares:
2,265,896 (Q1 2018)
Overall change:
-83%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 2026239,266$26.25M$109.71+27,194+13%
Q4 2025212,072$23.39M$110.27-3,276-2%
Q3 2025215,348$24.05M$111.70-1,267-1%
Q2 2025216,615$22.84M$105.46-2,808-1%
Q1 2025219,423$24.40M$111.19-85,162-28%
Q4 2024304,585$31.51M$103.44-56,817-16%
Q3 2024361,402$40.41M$111.80-155,572-30%
Q2 2024516,974$46.17M$89.31-21,159-4%
Q1 2024538,133$46.20M$85.86-1,2640%
Q4 2023539,397$44.50M$82.50-65,399-11%
Q3 2023604,796$46.42M$76.75-6,224-1%
Q2 2023611,020$42.65M$69.80-279,816-31%
Q1 2023890,836$57.48M$64.52+2,7830%
Q4 2022888,053$63.89M$71.94-49,492-5%
Q3 2022937,545$52.69M$56.20-4,3750%
Q2 2022941,920$52.12M$55.33-325,395-26%
Q1 20221,267,315$81.60M$64.39-271,571-18%
Q4 20211,538,886$89.86M$58.39+1,5420%
Q3 20211,537,344$80.14M$52.13+61,658+4%
Q2 20211,475,686$79.19M$53.66-64,953-4%
Q1 20211,540,639$78.85M$51.18+75,100+5%
Q4 20201,465,539$65.17M$44.47-93,633-6%
Q3 20201,559,172$56.68M$36.35+154,295+11%
Q2 20201,404,877$50.62M$36.03-184,496-12%
Q1 20201,589,373$54.42M$34.24-8,624-1%
Q4 20191,597,997$84.53M$52.90-18,453-1%
Q3 20191,616,450$84.57M$52.32+5,2000%
Q2 20191,611,250$88.31M$54.81-10,990-1%
Q1 20191,622,240$81.11M$50.00-6,2160%
Q4 20181,628,456$74.19M$45.56-575,209-26%
Q3 20182,203,665$103.73M$47.07-35,793-2%
Q2 20182,239,458$96.34M$43.02-26,438-1%
Q1 20182,265,896$99.16M$43.76+936,908+70%
Q4 20171,328,988$116.66M$87.78-251,605-16%
Q3 20171,580,593$128.64M$81.39-7,2100%
Q2 20171,587,803$123.34M$77.68-21,539-1%
Q1 20171,609,342$116.55M$72.42-14,427-1%
Q4 20161,623,769$113.01M$69.60-11,013-1%
Q3 20161,634,782$117.49M$71.87-202,007-11%
Q2 20161,836,789$132.54M$72.16-125,727-6%
Q1 20161,962,516$123.91M$63.14-148,423-7%
Q4 20152,110,939$126.44M$59.90-62,870-3%
Q3 20152,173,809$126.36M$58.13+78,550+4%
Q2 20152,095,259$130.32M$62.20+163,355+8%
Q1 20151,931,904$123.66M$64.01+292,442+18%
Q4 20141,639,462$100.16M$61.09+135,010+9%
Q3 20141,504,452$87.63M$58.25+91,400+6%
Q2 20141,413,052$87.96M$62.25NEW