Andreas HalvorsenV history

Issuer:
VISA INC
Quarters tracked:
43 (Q2 2014Q1 2026)
Current shares:
6,328,185
Current value:
$1.91B
Peak shares:
10,220,406 (Q3 2017)
Overall change:
+131%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 20266,328,185$1.91B$302.24+2,343,980+59%
Q4 20253,984,205$1.40B$350.71+1,087,175+38%
Q3 20252,897,030$988.99M$341.38+1,276,308+79%
Q2 20251,620,722$575.44M$355.05-504,369-24%
Q1 20252,125,091$744.76M$350.46-1,369,999-39%
Q4 20243,495,090$1.10B$316.04-10,6570%
Q3 20243,505,747$963.90M$274.95+3,505,747+100%
Q2 2024SOLD-6,327,962-100%
Q1 20246,327,962$1.77B$279.08+637,856+11%
Q4 20235,690,106$1.48B$260.35-1,281,229-18%
Q3 20236,971,335$1.60B$230.01-168,951-2%
Q2 20237,140,286$1.70B$237.48+580,217+9%
Q1 20236,560,069$1.48B$225.46+775,098+13%
Q4 20225,784,971$1.20B$207.76+438,387+8%
Q3 20225,346,584$949.82M$177.65+2,790,724+109%
Q2 20222,555,860$503.22M$196.89-41,960-2%
Q1 20222,597,820$576.12M$221.77-1,373,759-35%
Q4 20213,971,579$860.68M$216.71+1,334,844+51%
Q3 20212,636,735$587.33M$222.75+417,572+19%
Q2 20212,219,163$518.88M$233.82-1,819,346-45%
Q1 20214,038,509$855.07M$211.73-47,029-1%
Q4 20204,085,538$893.63M$218.73+3,763,943+1170%
Q3 2020321,595$64.31M$199.97+156,706+95%
Q2 2020164,889$31.85M$193.17-265,220-62%
Q1 2020430,109$69.30M$161.12+94,562+28%
Q4 2019335,547$63.05M$187.90+84,673+34%
Q3 2019250,874$43.15M$172.01-136,494-35%
Q2 2019387,368$67.23M$173.55-2,687,425-87%
Q1 20193,074,793$480.25M$156.19-3,056,169-50%
Q4 20186,130,962$808.92M$131.94+4,881,187+391%
Q3 20181,249,775$187.58M$150.09-1,957,699-61%
Q2 20183,207,474$424.83M$132.45-1,954,382-38%
Q1 20185,161,856$617.46M$119.62-2,461,875-32%
Q4 20177,623,731$869.26M$114.02-2,596,675-25%
Q3 201710,220,406$1.08B$105.24+2,352,406+30%
Q2 20177,868,000$737.86M$93.78+3,605,445+85%
Q1 20174,262,555$378.81M$88.87-583,930-12%
Q4 20164,846,485$378.12M$78.02+4,268,933+739%
Q3 2016577,552$47.76M$82.70+577,552+100%
Q1 2015SOLD-916,606-100%
Q4 2014916,606$240.33M$262.20-2,119,013-70%
Q3 20143,035,619$647.71M$213.37+290,966+11%
Q2 20142,744,653$578.33M$210.71NEW