Mar Vista PartnersJNJ history

Issuer:
JOHNSON & JOHNSON
Quarters tracked:
48 (Q3 2014Q2 2026)
Current shares:
146,288
Current value:
$37.15M
Peak shares:
932,654 (Q4 2019)
Overall change:
+29%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026146,288$37.15M$253.97-19,712-12%
Q1 2026166,000$40.58M$244.44-3,614-2%
Q4 2025169,614$35.10M$206.95-10,479-6%
Q3 2025180,093$33.39M$185.42-9,348-5%
Q2 2025189,441$28.94M$152.75+4,655+3%
Q1 2025184,786$30.64M$165.84-37,249-17%
Q4 2024222,035$32.11M$144.62-11,553-5%
Q3 2024233,588$37.85M$162.06-109,536-32%
Q2 2024343,124$50.15M$146.16-72,579-17%
Q1 2024415,703$65.76M$158.19+84,163+25%
Q4 2023331,540$51.97M$156.74-31,201-9%
Q3 2023362,741$56.50M$155.75-27,974-7%
Q2 2023390,715$64.67M$165.52-25,018-6%
Q1 2023415,733$64.44M$155.00+60,519+17%
Q4 2022355,214$62.75M$176.65-167,887-32%
Q3 2022523,101$85.45M$163.36-2650%
Q2 2022523,366$92.90M$177.51-71,797-12%
Q1 2022595,163$105.48M$177.23+53,104+10%
Q4 2021542,059$92.73M$171.07-9,096-2%
Q3 2021551,155$89.01M$161.50-16,543-3%
Q2 2021567,698$93.52M$164.74-107,202-16%
Q1 2021674,900$110.92M$164.35-14,230-2%
Q4 2020689,130$108.45M$157.38-59,921-8%
Q3 2020749,051$111.52M$148.88-32,993-4%
Q2 2020782,044$109.98M$140.63-114,054-13%
Q1 2020896,098$117.50M$131.13-36,556-4%
Q4 2019932,654$136.05M$145.87+184,783+25%
Q3 2019747,871$96.76M$129.38+41,562+6%
Q2 2019706,309$98.38M$139.28-3250%
Q1 2019706,634$98.78M$139.79+132,042+23%
Q4 2018574,592$74.15M$129.05+66,275+13%
Q3 2018508,317$70.23M$138.17+141,092+38%
Q2 2018367,225$44.56M$121.34-20,687-5%
Q1 2018387,912$49.71M$128.15-2,701-1%
Q4 2017390,613$54.58M$139.72+2,289+1%
Q3 2017388,324$50.49M$130.01+13,500+4%
Q2 2017374,824$49.59M$132.29-13,250-3%
Q1 2017388,074$48.34M$124.55-27,880-7%
Q4 2016415,954$47.92M$115.21+6,847+2%
Q3 2016409,107$48.33M$118.13+186,464+84%
Q2 2016222,643$27.01M$121.30+4540%
Q1 2016222,189$24.04M$108.20-15,135-6%
Q4 2015237,324$24.38M$102.72-3,148-1%
Q3 2015240,472$22.45M$93.35+3,307+1%
Q2 2015237,165$23.11M$97.46+118,266+99%
Q1 2015118,899$11.96M$100.60-1,346-1%
Q4 2014120,245$12.57M$104.57+6,626+6%
Q3 2014113,619$12.11M$106.59NEW