Torray LLCAXP history

Issuer:
American Express
Quarters tracked:
48 (Q3 2014Q2 2026)
Current shares:
1,965
Current value:
$665K
Peak shares:
213,435 (Q3 2017)
Overall change:
-98%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 20261,965$665K$338.4200%
Q1 20261,965$594K$302.29-22,310-92%
Q4 202524,275$8.98M$369.97-33,375-58%
Q3 202557,650$19.15M$332.1600%
Q2 202557,650$18.39M$318.98-637-1%
Q1 202558,287$15.68M$269.0500%
Q4 202458,287$17.30M$296.79-7,963-12%
Q3 202466,250$17.97M$271.20+1,225+2%
Q2 202465,025$15.06M$231.5600%
Q1 202465,025$14.81M$227.70-9,176-12%
Q4 202374,201$13.90M$187.3400%
Q3 202374,201$11.07M$149.19+400+1%
Q2 202373,801$12.86M$174.2000%
Q1 202373,801$12.17M$164.94+890%
Q4 202273,712$10.89M$147.75+800%
Q3 202273,632$9.93M$134.9100%
Q2 202273,632$10.21M$138.6200%
Q1 202273,632$13.77M$187.00-16,084-18%
Q4 202189,716$14.68M$163.61-19,363-18%
Q3 2021109,079$18.27M$167.5300%
Q2 2021109,079$18.02M$165.2300%
Q1 2021109,079$15.43M$141.44-56,100-34%
Q4 2020165,179$19.97M$120.91+640%
Q3 2020165,115$16.55M$100.25-2,507-1%
Q2 2020167,622$15.96M$95.20-1760%
Q1 2020167,798$14.37M$85.61-1760%
Q4 2019167,974$20.91M$124.49-37,222-18%
Q3 2019205,196$24.27M$118.28-1,035-1%
Q2 2019206,231$25.46M$123.44-1480%
Q1 2019206,379$22.56M$109.30-6570%
Q4 2018207,036$19.73M$95.32-1480%
Q3 2018207,184$22.06M$106.49-1040%
Q2 2018207,288$20.31M$98.00-3300%
Q1 2018207,618$19.37M$93.28+1080%
Q4 2017207,510$20.61M$99.31-5,925-3%
Q3 2017213,435$19.31M$90.46+4,992+2%
Q2 2017208,443$17.56M$84.24+10%
Q1 2017208,442$16.49M$79.11+350%
Q4 2016208,407$15.44M$74.08+1,252+1%
Q3 2016207,155$13.27M$64.04+1,255+1%
Q2 2016205,900$12.51M$60.76+3350%
Q1 2016205,565$12.62M$61.40+82,340+67%
Q4 2015123,225$8.57M$69.55+4050%
Q3 2015122,820$9.11M$74.13-4000%
Q2 2015123,220$9.58M$77.72+118,366+2439%
Q1 20154,854$379K$78.08-116,665-96%
Q4 2014121,519$11.31M$93.04+2,235+2%
Q3 2014119,284$10.44M$87.54NEW