Ariel Investments LLCSNA history

Issuer:
SNAP ON INC
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
32,608
Current value:
$11.84M
Peak shares:
1,129,250 (Q1 2022)
Overall change:
-97%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 202632,608$11.84M$363.22-860%
Q4 202532,694$11.27M$344.59-1490%
Q3 202532,843$11.38M$346.53-1620%
Q2 202533,005$10.27M$311.16-1,981-6%
Q1 202534,986$11.79M$336.99-5,306-13%
Q4 202440,292$13.68M$339.50-1,101-3%
Q3 202441,393$11.99M$289.71+417+1%
Q2 202440,976$10.71M$261.40-31,867-44%
Q1 202472,843$21.58M$296.21-136,479-65%
Q4 2023209,322$60.46M$288.84-100,170-32%
Q3 2023309,492$78.94M$255.06-50,011-14%
Q2 2023359,503$103.61M$288.19-31,751-8%
Q1 2023391,254$96.60M$246.89-126,124-24%
Q4 2022517,378$118.22M$228.49-210,108-29%
Q3 2022727,486$146.48M$201.35-290,699-29%
Q2 20221,018,185$200.61M$197.03-111,065-10%
Q1 20221,129,250$232.04M$205.48+20,485+2%
Q4 20211,108,765$238.81M$215.38+49,429+5%
Q3 20211,059,336$221.35M$208.95+54,838+5%
Q2 20211,004,498$224.44M$223.43-31,344-3%
Q1 20211,035,842$239.01M$230.74-42,360-4%
Q4 20201,078,202$184.52M$171.14+72,784+7%
Q3 20201,005,418$147.93M$147.13+29,875+3%
Q2 2020975,543$135.12M$138.51-8,649-1%
Q1 2020984,192$107.10M$108.82+5,308+1%
Q4 2019978,884$165.82M$169.40+44,864+5%
Q3 2019934,020$146.21M$156.54+93,174+11%
Q2 2019840,846$139.28M$165.64-7,241-1%
Q1 2019848,087$132.74M$156.52-25,902-3%
Q4 2018873,989$126.98M$145.29-45,691-5%
Q3 2018919,680$168.85M$183.60-10,253-1%
Q2 2018929,933$149.46M$160.72+84,287+10%
Q1 2018845,646$124.77M$147.54+68,854+9%
Q4 2017776,792$135.40M$174.30+12,758+2%
Q3 2017764,034$113.85M$149.01+125,548+20%
Q2 2017638,486$100.88M$158.00-3,1380%
Q1 2017641,624$108.22M$168.67-42,539-6%
Q4 2016684,163$117.18M$171.27+22,632+3%
Q3 2016661,531$100.53M$151.96-16,922-2%
Q2 2016678,453$107.07M$157.82-2,4250%
Q1 2016680,878$106.89M$156.99-109,776-14%
Q4 2015790,654$135.54M$171.43-30,480-4%
Q3 2015821,134$123.94M$150.94-78,073-9%
Q2 2015899,207$143.20M$159.25-31,891-3%
Q1 2015931,098$136.93M$147.06-19,359-2%
Q4 2014950,457$129.97M$136.74-81,750-8%
Q3 20141,032,207$124.98M$121.08+2,0300%
Q2 20141,030,177$122.10M$118.52NEW