Ariel Investments LLCSSD history

Issuer:
SIMPSON MFG INC
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
91,750
Current value:
$15.75M
Peak shares:
3,204,540 (Q1 2015)
Overall change:
-96%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 202691,750$15.75M$171.62+3610%
Q4 202591,389$14.76M$161.47-1,461-2%
Q3 202592,850$15.55M$167.46-15,763-15%
Q2 2025108,613$16.87M$155.31-2,883-3%
Q1 2025111,496$17.52M$157.09+3,668+3%
Q4 2024107,828$17.88M$165.83-2,463-2%
Q3 2024110,291$21.10M$191.28-47,129-30%
Q2 2024157,420$26.53M$168.54-181,863-54%
Q1 2024339,283$69.61M$205.18-58,027-15%
Q4 2023397,310$78.66M$197.98-26,588-6%
Q3 2023423,898$63.51M$149.81-63,174-13%
Q2 2023487,072$67.46M$138.50-142,347-23%
Q1 2023629,419$69.01M$109.64+3,595+1%
Q4 2022625,824$55.49M$88.66-15,384-2%
Q3 2022641,208$50.27M$78.40+1,2720%
Q2 2022639,936$64.38M$100.61+2,6990%
Q1 2022637,237$69.48M$109.04-40,003-6%
Q4 2021677,240$94.18M$139.07-35,704-5%
Q3 2021712,944$76.26M$106.97+16,702+2%
Q2 2021696,242$76.89M$110.44+15,315+2%
Q1 2021680,927$70.63M$103.73+56,020+9%
Q4 2020624,907$58.40M$93.45+44,906+8%
Q3 2020580,001$56.35M$97.16-133,991-19%
Q2 2020713,992$60.23M$84.36-208,715-23%
Q1 2020922,707$57.19M$61.98-368,535-29%
Q4 20191,291,242$103.60M$80.23-392,366-23%
Q3 20191,683,608$116.79M$69.37-10,620-1%
Q2 20191,694,228$112.60M$66.46-130,395-7%
Q1 20191,824,623$108.14M$59.27-9,0430%
Q4 20181,833,666$99.26M$54.13+59,108+3%
Q3 20181,774,558$128.58M$72.46-48,570-3%
Q2 20181,823,128$113.38M$62.19-57,912-3%
Q1 20181,881,040$108.33M$57.59+160,482+9%
Q4 20171,720,558$98.78M$57.41-48,840-3%
Q3 20171,769,398$86.77M$49.04+8,2310%
Q2 20171,761,167$76.98M$43.71+6,7440%
Q1 20171,754,423$75.60M$43.09-148,778-8%
Q4 20161,903,201$83.27M$43.75-557,603-23%
Q3 20162,460,804$108.15M$43.95-178,957-7%
Q2 20162,639,761$105.51M$39.97-356,799-12%
Q1 20162,996,560$114.38M$38.17-17,250-1%
Q4 20153,013,810$102.92M$34.15-5,8100%
Q3 20153,019,620$101.13M$33.49-124,050-4%
Q2 20153,143,670$106.89M$34.00-60,870-2%
Q1 20153,204,540$119.75M$37.37+25,669+1%
Q4 20143,178,871$109.99M$34.60+242,625+8%
Q3 20142,936,246$85.59M$29.15+580,355+25%
Q2 20142,355,891$85.66M$36.36NEW