Bill NygrenTHC history

Issuer:
TENET HEALTHCARE CORP
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
2,400
Current value:
$453K
Peak shares:
8,411,922 (Q3 2016)
Overall change:
-100%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 20262,400$453K$188.7500%
Q4 20252,400$477K$198.7500%
Q3 20252,400$487K$202.9200%
Q2 20252,400$422K$175.8300%
Q1 20252,400$323K$134.58-1,000-29%
Q4 20243,400$429K$126.18-500-13%
Q3 20243,900$648K$166.1500%
Q2 20243,900$519K$133.0800%
Q1 20243,900$410K$105.1300%
Q4 20233,900$295K$75.6400%
Q3 20233,900$257K$65.9000%
Q2 20233,900$317K$81.28-5,071,769-100%
Q1 20235,075,669$301.60M$59.42-387,705-7%
Q4 20225,463,374$266.56M$48.79-80,195-1%
Q3 20225,543,569$285.94M$51.58-306,780-5%
Q2 20225,850,349$307.49M$52.56-58,787-1%
Q1 20225,909,136$507.95M$85.96-91,359-2%
Q4 20216,000,495$490.18M$81.69-708,955-11%
Q3 20216,709,450$445.78M$66.44+217,524+3%
Q2 20216,491,926$434.89M$66.99+150,330+2%
Q1 20216,341,596$329.76M$52.00-772,405-11%
Q4 20207,114,001$284.06M$39.93+476,085+7%
Q3 20206,637,916$162.69M$24.51+45,675+1%
Q2 20206,592,241$119.39M$18.11+202,204+3%
Q1 20206,390,037$92.02M$14.40+205,745+3%
Q4 20196,184,292$235.19M$38.03-236,770-4%
Q3 20196,421,062$142.03M$22.12+175,525+3%
Q2 20196,245,537$129.03M$20.66+239,825+4%
Q1 20196,005,712$173.21M$28.84-203,475-3%
Q4 20186,209,187$106.42M$17.14-1,285,768-17%
Q3 20187,494,955$213.31M$28.46+151,369+2%
Q2 20187,343,586$246.52M$33.57-110,125-1%
Q1 20187,453,711$180.75M$24.25-17,3000%
Q4 20177,471,011$113.26M$15.16-685,825-8%
Q3 20178,156,836$134.02M$16.43+423,401+5%
Q2 20177,733,435$149.56M$19.34+108,070+1%
Q1 20177,625,365$135.05M$17.71+166,100+2%
Q4 20167,459,265$110.69M$14.84-952,657-11%
Q3 20168,411,922$190.62M$22.66+78,129+1%
Q2 20168,333,793$230.35M$27.64+60,200+1%
Q1 20168,273,593$239.35M$28.93-73,075-1%
Q4 20158,346,668$252.90M$30.30+1,701,615+26%
Q3 20156,645,053$245.34M$36.92+312,750+5%
Q2 20156,332,303$366.51M$57.88+495,001+8%
Q1 20155,837,302$289.00M$49.51-198,775-3%
Q4 20146,036,077$305.85M$50.67+86,350+1%
Q3 20145,949,727$353.36M$59.39-1,345,015-18%
Q2 20147,294,742$342.42M$46.94NEW