Ariel Investments LLCBIO history

Issuer:
BIO RAD LABS INC
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
785,961
Current value:
$219.09M
Peak shares:
1,141,142 (Q1 2015)
Overall change:
-20%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 2026785,961$219.09M$278.75+21,289+3%
Q4 2025764,672$231.69M$302.99-44,808-6%
Q3 2025809,480$226.97M$280.39-9,144-1%
Q2 2025818,624$197.55M$241.32+93,964+13%
Q1 2025724,660$176.50M$243.56+164,136+29%
Q4 2024560,524$184.14M$328.51+181,829+48%
Q3 2024378,695$126.70M$334.58+274,508+263%
Q2 2024104,187$28.45M$273.11+39,095+60%
Q1 202465,092$22.51M$345.86+60,615+1354%
Q4 20234,477$1.45M$322.98-52-1%
Q3 20234,529$1.62M$358.36+136+3%
Q2 20234,393$1.67M$379.24-27,404-86%
Q1 202331,797$15.23M$479.01-990%
Q4 202231,896$13.41M$420.49-34,769-52%
Q3 202266,665$27.81M$417.13+2,762+4%
Q2 202263,903$31.63M$495.00+2,167+4%
Q1 202261,736$34.77M$563.22+5,986+11%
Q4 202155,750$42.12M$755.57+3,810+7%
Q3 202151,940$38.74M$745.96-1940%
Q2 202152,134$33.59M$644.28+833+2%
Q1 202151,301$29.30M$571.18+1,990+4%
Q4 202049,311$28.75M$582.93-15,082-23%
Q3 202064,393$33.19M$515.46-8,293-11%
Q2 202072,686$32.82M$451.49-86,128-54%
Q1 2020158,814$55.67M$350.56-67,684-30%
Q4 2019226,498$83.81M$370.03+2,326+1%
Q3 2019224,172$74.59M$332.74-7,146-3%
Q2 2019231,318$72.31M$312.59-9,031-4%
Q1 2019240,349$73.47M$305.68+16,011+7%
Q4 2018224,338$52.10M$232.22-8,323-4%
Q3 2018232,661$72.82M$312.99+6850%
Q2 2018231,976$66.93M$288.54-19,153-8%
Q1 2018251,129$62.80M$250.08-16,391-6%
Q4 2017267,520$63.85M$238.67-256,724-49%
Q3 2017524,244$116.50M$222.22-49,993-9%
Q2 2017574,237$129.96M$226.31-100,123-15%
Q1 2017674,360$134.43M$199.34-212,467-24%
Q4 2016886,827$161.65M$182.28-71,219-7%
Q3 2016958,046$156.94M$163.81-22,805-2%
Q2 2016980,851$140.28M$143.02-23,641-2%
Q1 20161,004,492$137.33M$136.72-1,4550%
Q4 20151,005,947$139.49M$138.66+5,786+1%
Q3 20151,000,161$134.33M$134.31-122,822-11%
Q2 20151,122,983$169.13M$150.61-18,159-2%
Q1 20151,141,142$154.26M$135.18+80,575+8%
Q4 20141,060,567$127.86M$120.56-6,659-1%
Q3 20141,067,226$121.02M$113.40+83,774+9%
Q2 2014983,452$117.73M$119.71NEW