Chase ColemanJD history

Issuer:
JD.COM INC
Quarters tracked:
46 (Q4 2014Q1 2026)
Current shares:
344,309
Current value:
$10.18M
Peak shares:
70,175,611 (Q2 2015)
Overall change:
-93%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 2026344,309$10.18M$29.5700%
Q4 2025344,309$9.88M$28.7000%
Q3 2025344,309$12.04M$34.9800%
Q2 2025344,309$11.24M$32.6400%
Q1 2025344,309$14.16M$41.1200%
Q4 2024344,309$11.94M$34.6700%
Q3 2024344,309$13.77M$40.00-478,406-58%
Q2 2024822,715$21.26M$25.84-2,316,104-74%
Q1 20243,138,819$85.97M$27.39-5,665,172-64%
Q4 20238,803,991$254.35M$28.89-1,057,852-11%
Q3 20239,861,843$287.27M$29.13-11,212,964-53%
Q2 202321,074,807$719.28M$34.13-3,003,093-12%
Q1 202324,077,900$1.06B$43.89+2,265,750+10%
Q4 202221,812,150$1.22B$56.13-8,048,177-27%
Q3 202229,860,327$1.50B$50.30-665,334-2%
Q2 202230,525,661$1.96B$64.22-18,249,334-37%
Q1 202248,774,995$2.82B$57.87-4,954,176-9%
Q4 202153,729,171$3.76B$70.07+2,590,046+5%
Q3 202151,139,125$3.69B$72.24-455,628-1%
Q2 202151,594,753$4.12B$79.81-55,6130%
Q1 202151,650,366$4.36B$84.3300%
Q4 202051,650,366$4.54B$87.9000%
Q3 202051,650,366$4.01B$77.6100%
Q2 202051,650,366$3.11B$60.18+1,000,000+2%
Q1 202050,650,366$2.05B$40.50-2,200,000-4%
Q4 201952,850,366$1.86B$35.2300%
Q3 201952,850,366$1.49B$28.2100%
Q2 201952,850,366$1.60B$30.29-5,000,000-9%
Q1 201957,850,366$1.74B$30.15-70,8040%
Q4 201857,921,170$1.21B$20.93+7,515,511+15%
Q3 201850,405,659$1.32B$26.09+9,622,535+24%
Q2 201840,783,124$1.59B$38.95-652,720-2%
Q1 201841,435,844$1.68B$40.49+655,351+2%
Q4 201740,780,493$1.69B$41.42-8,319,507-17%
Q3 201749,100,000$1.88B$38.20+5,384,776+12%
Q2 201743,715,224$1.71B$39.22-2,472,750-5%
Q1 201746,187,974$1.44B$31.11+398,153+1%
Q4 201645,789,821$1.16B$25.44+12,326,046+37%
Q3 201633,463,775$873.07M$26.09-10,541,269-24%
Q2 201644,005,044$934.23M$21.2300%
Q1 201644,005,044$1.17B$26.50-15,610,451-26%
Q4 201559,615,495$1.92B$32.27+2,086,505+4%
Q3 201557,528,990$1.50B$26.06-12,646,621-18%
Q2 201570,175,611$2.39B$34.10+49,254,282+235%
Q1 201520,921,329$614.67M$29.38+15,805,937+309%
Q4 20145,115,392$118.37M$23.14NEW