Ariel Investments LLCLFUS history

Issuer:
LITTELFUSE INC
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
215,427
Current value:
$73.11M
Peak shares:
883,775 (Q3 2014)
Overall change:
-74%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 2026215,427$73.11M$339.35-6,071-3%
Q4 2025221,498$56.02M$252.92-3,875-2%
Q3 2025225,373$58.37M$259.01-68,628-23%
Q2 2025294,001$66.66M$226.73-11,391-4%
Q1 2025305,392$60.08M$196.74+7,327+2%
Q4 2024298,065$70.24M$235.65-19,206-6%
Q3 2024317,271$84.16M$265.25-11,650-4%
Q2 2024328,921$84.07M$255.59-18,302-5%
Q1 2024347,223$84.15M$242.35+6,030+2%
Q4 2023341,193$91.29M$267.56+1,3400%
Q3 2023339,853$84.05M$247.32+1,0940%
Q2 2023338,759$98.69M$291.31-29,866-8%
Q1 2023368,625$98.83M$268.09-3,466-1%
Q4 2022372,091$81.94M$220.20-12,346-3%
Q3 2022384,437$76.38M$198.69-8,155-2%
Q2 2022392,592$99.73M$254.04+46,036+13%
Q1 2022346,556$86.43M$249.41+49,100+17%
Q4 2021297,456$93.60M$314.68-49,852-14%
Q3 2021347,308$94.91M$273.27-18,419-5%
Q2 2021365,727$93.18M$254.79+7,584+2%
Q1 2021358,143$94.71M$264.44-5,185-1%
Q4 2020363,328$92.53M$254.66-17,156-5%
Q3 2020380,484$67.47M$177.34-21,356-5%
Q2 2020401,840$68.57M$170.63+8,247+2%
Q1 2020393,593$52.51M$133.42-12,716-3%
Q4 2019406,309$77.73M$191.30+3,888+1%
Q3 2019402,421$71.35M$177.31-39,981-9%
Q2 2019442,402$78.27M$176.91+6140%
Q1 2019441,788$80.62M$182.48-2,931-1%
Q4 2018444,719$76.26M$171.48+210,573+90%
Q3 2018234,146$46.34M$197.89+11,345+5%
Q2 2018222,801$50.84M$228.18+1,950+1%
Q1 2018220,851$45.98M$208.18-37,069-14%
Q4 2017257,920$51.02M$197.82-39,635-13%
Q3 2017297,555$58.28M$195.88-89,961-23%
Q2 2017387,516$63.94M$165.00-51,484-12%
Q1 2017439,000$70.20M$159.91-16,005-4%
Q4 2016455,005$69.06M$151.77-139,029-23%
Q3 2016594,034$76.52M$128.81-56,999-9%
Q2 2016651,033$76.95M$118.19-79,623-11%
Q1 2016730,656$89.95M$123.11-98,585-12%
Q4 2015829,241$88.74M$107.01-26,138-3%
Q3 2015855,379$77.97M$91.15+22,251+3%
Q2 2015833,128$79.06M$94.89-28,655-3%
Q1 2015861,783$85.65M$99.39-21,627-2%
Q4 2014883,410$85.40M$96.67-3650%
Q3 2014883,775$75.28M$85.18+56,276+7%
Q2 2014827,499$76.92M$92.95NEW