Ariel Investments LLCJNJ history

Issuer:
JOHNSON & JOHNSON
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
40,553
Current value:
$9.91M
Peak shares:
1,024,773 (Q3 2018)
Overall change:
-92%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 202640,553$9.91M$244.45-2,707-6%
Q4 202543,260$8.95M$206.96-8,594-17%
Q3 202551,854$9.62M$185.42+20,691+66%
Q2 202531,163$4.76M$152.7500%
Q1 202531,163$5.17M$165.8400%
Q4 202431,163$4.51M$144.63+6,093+24%
Q3 202425,070$4.06M$162.07+1,507+6%
Q2 202423,563$3.44M$146.16-696-3%
Q1 202424,259$3.84M$158.2100%
Q4 202324,259$3.80M$156.73-442,584-95%
Q3 2023466,843$72.71M$155.75-115,905-20%
Q2 2023582,748$96.46M$165.52-17,120-3%
Q1 2023599,868$92.98M$155.00+5450%
Q4 2022599,323$105.87M$176.65-159,643-21%
Q3 2022758,966$123.98M$163.36-20,185-3%
Q2 2022779,151$138.31M$177.51+7,079+1%
Q1 2022772,072$136.83M$177.23+5,459+1%
Q4 2021766,613$131.14M$171.07-54,239-7%
Q3 2021820,852$132.57M$161.50+38,543+5%
Q2 2021782,309$128.88M$164.74-93,098-11%
Q1 2021875,407$143.87M$164.35-32,036-4%
Q4 2020907,443$142.81M$157.38+37,009+4%
Q3 2020870,434$129.59M$148.88-38,546-4%
Q2 2020908,980$127.83M$140.63+40,606+5%
Q1 2020868,374$113.87M$131.13-84,909-9%
Q4 2019953,283$139.06M$145.87+3,8730%
Q3 2019949,410$122.83M$129.38-8450%
Q2 2019950,255$132.35M$139.28+56,864+6%
Q1 2019893,391$124.89M$139.79-15,941-2%
Q4 2018909,332$117.35M$129.05-115,441-11%
Q3 20181,024,773$141.59M$138.17+22,611+2%
Q2 20181,002,162$121.60M$121.34+14,222+1%
Q1 2018987,940$126.61M$128.15-24,883-2%
Q4 20171,012,823$141.51M$139.72+23,534+2%
Q3 2017989,289$128.62M$130.01+38,915+4%
Q2 2017950,374$125.72M$132.29+58,258+7%
Q1 2017892,116$111.11M$124.55+21,757+2%
Q4 2016870,359$100.27M$115.21+11,810+1%
Q3 2016858,549$101.42M$118.13+9860%
Q2 2016857,563$104.02M$121.30+6,648+1%
Q1 2016850,915$92.07M$108.20+19,251+2%
Q4 2015831,664$85.43M$102.72-52,490-6%
Q3 2015884,154$82.54M$93.35+102,128+13%
Q2 2015782,026$76.22M$97.46+124,952+19%
Q1 2015657,074$66.10M$100.60+24,942+4%
Q4 2014632,132$66.10M$104.57+95,516+18%
Q3 2014536,616$57.20M$106.59+13,889+3%
Q2 2014522,727$54.69M$104.62NEW