Bill SmeadNVR history

Issuer:
NVR INC
Quarters tracked:
49 (Q2 2014Q2 2026)
Current shares:
28,248
Current value:
$192.47M
Peak shares:
104,301 (Q4 2015)
Overall change:
+30%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 202628,248$192.47M$6813.51+6,710+31%
Q1 202621,538$141.94M$6590.03-3,207-13%
Q4 202524,745$180.46M$7292.71-1,717-6%
Q3 202526,462$212.61M$8034.69-2,024-7%
Q2 202528,486$210.39M$7385.70-3,797-12%
Q1 202532,283$233.87M$7244.37-3,072-9%
Q4 202435,355$289.17M$8178.96-863-2%
Q3 202436,218$355.37M$9811.83+1,223+3%
Q2 202434,995$265.56M$7588.57+1,834+6%
Q1 202433,161$268.60M$8099.97-6,320-16%
Q4 202339,481$276.38M$7000.46+277+1%
Q3 202339,204$233.78M$5963.29-1,264-3%
Q2 202340,468$257.00M$6350.62-13,487-25%
Q1 202353,955$300.65M$5572.20+1,402+3%
Q4 202252,553$242.41M$4612.58+4,521+9%
Q3 202248,032$191.51M$3987.07+761+2%
Q2 202247,271$189.28M$4004.15+3,209+7%
Q1 202244,062$196.84M$4467.27+6,940+19%
Q4 202137,122$219.35M$5908.87+6,318+21%
Q3 202130,804$147.68M$4794.09+793+3%
Q2 202130,011$149.25M$4973.31+3,645+14%
Q1 202126,366$124.21M$4710.92+468+2%
Q4 202025,898$105.66M$4079.85-1,249-5%
Q3 202027,147$110.84M$4083.10-5,711-17%
Q2 202032,858$107.08M$3258.75-2,237-6%
Q1 202035,095$90.16M$2569.11-6,686-16%
Q4 201941,781$159.12M$3808.41-2,359-5%
Q3 201944,140$164.08M$3717.35-1,257-3%
Q2 201945,397$153.00M$3370.24-1,289-3%
Q1 201946,686$129.18M$2767.00-1,141-2%
Q4 201847,827$116.55M$2436.99+7,208+18%
Q3 201840,619$100.36M$2470.79+2,922+8%
Q2 201837,697$111.97M$2970.34-667-2%
Q1 201838,364$107.42M$2799.99-6,655-15%
Q4 201745,019$157.94M$3508.23-2,200-5%
Q3 201747,219$134.81M$2854.99-4,570-9%
Q2 201751,789$124.84M$2410.61-13,806-21%
Q1 201765,595$138.20M$2106.88-7,905-11%
Q4 201673,500$122.67M$1669.01-9,493-11%
Q3 201682,993$136.10M$1639.87-5,126-6%
Q2 201688,119$156.88M$1780.34-5,368-6%
Q1 201693,487$161.96M$1732.40-10,814-10%
Q4 2015104,301$140.08M$1343.05+28,788+38%
Q3 201575,513$115.17M$1525.22+17,443+30%
Q2 201558,070$77.81M$1339.97+12,360+27%
Q1 201545,710$60.73M$1328.66+11,853+35%
Q4 201433,857$43.18M$1275.30+8,065+31%
Q3 201425,792$29.14M$1130.00+4,068+19%
Q2 201421,724$25.00M$1150.62NEW