Bill SmeadHD history

Issuer:
HOME DEPOT INC
Quarters tracked:
49 (Q2 2014Q2 2026)
Current shares:
290,159
Current value:
$102.33M
Peak shares:
748,122 (Q4 2015)
Overall change:
-8%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026290,159$102.33M$352.68-17,180-6%
Q1 2026307,339$101.08M$328.89-45,480-13%
Q4 2025352,819$121.41M$344.10-24,587-7%
Q3 2025377,406$152.92M$405.19-28,867-7%
Q2 2025406,273$148.96M$366.64-54,052-12%
Q1 2025460,325$168.71M$366.49-43,550-9%
Q4 2024503,875$196.00M$388.99-12,329-2%
Q3 2024516,204$209.17M$405.20+17,416+3%
Q2 2024498,788$171.70M$344.24+26,172+6%
Q1 2024472,616$181.29M$383.60+19,391+4%
Q4 2023453,225$157.06M$346.55+3,170+1%
Q3 2023450,055$135.99M$302.16-14,497-3%
Q2 2023464,552$144.31M$310.64-7,733-2%
Q1 2023472,285$139.38M$295.12+12,091+3%
Q4 2022460,194$145.36M$315.86+39,423+9%
Q3 2022420,771$116.11M$275.94+6,623+2%
Q2 2022414,148$113.59M$274.27+24,247+6%
Q1 2022389,901$116.71M$299.33+56,260+17%
Q4 2021333,641$138.46M$415.01+53,751+19%
Q3 2021279,890$91.88M$328.26+7,499+3%
Q2 2021272,391$86.86M$318.89+32,097+13%
Q1 2021240,294$73.35M$305.25-12,830-5%
Q4 2020253,124$67.23M$265.62-8,772-3%
Q3 2020261,896$72.73M$277.71-25,467-9%
Q2 2020287,363$71.99M$250.51-116,193-29%
Q1 2020403,556$75.35M$186.71-23,771-6%
Q4 2019427,327$93.32M$218.38+7,010+2%
Q3 2019420,317$97.52M$232.02-12,027-3%
Q2 2019432,344$89.92M$207.97-12,153-3%
Q1 2019444,497$85.30M$191.89-12,137-3%
Q4 2018456,634$78.46M$171.82-21,462-4%
Q3 2018478,096$99.04M$207.15-12,174-2%
Q2 2018490,270$95.65M$195.10+85,707+21%
Q1 2018404,563$72.11M$178.24-3270%
Q4 2017404,890$76.74M$189.53-19,376-5%
Q3 2017424,266$69.39M$163.56-5,955-1%
Q2 2017430,221$66.00M$153.40-10,209-2%
Q1 2017440,430$64.67M$146.83-86,066-16%
Q4 2016526,496$70.59M$134.08-67,502-11%
Q3 2016593,998$76.44M$128.68-36,832-6%
Q2 2016630,830$80.55M$127.69-38,196-6%
Q1 2016669,026$89.27M$133.43-79,096-11%
Q4 2015748,122$80.98M$108.24+206,183+38%
Q3 2015541,939$62.59M$115.49+124,803+30%
Q2 2015417,136$46.36M$111.13+43,995+12%
Q1 2015373,141$42.39M$113.61+18,209+5%
Q4 2014354,932$37.26M$104.97+26,783+8%
Q3 2014328,149$30.10M$91.74+14,132+5%
Q2 2014314,017$25.42M$80.96NEW