Mar Vista PartnersV history

Issuer:
VISA INC-CLASS A SHARES
Quarters tracked:
48 (Q3 2014Q2 2026)
Current shares:
126,493
Current value:
$43.40M
Peak shares:
653,753 (Q3 2019)
Overall change:
+121%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 2026126,493$43.40M$343.09-10,647-8%
Q1 2026137,140$41.45M$302.24+4,639+4%
Q4 2025132,501$46.47M$350.71+24,087+22%
Q3 2025108,414$37.01M$341.38-5,018-4%
Q2 2025113,432$40.27M$355.05-48,918-30%
Q1 2025162,350$56.90M$350.46-34,532-18%
Q4 2024196,882$62.22M$316.04-4,259-2%
Q3 2024201,141$55.30M$274.95-56,753-22%
Q2 2024257,894$67.69M$262.47-10,410-4%
Q1 2024268,304$74.88M$279.08-12,630-4%
Q4 2023280,934$73.14M$260.35-18,009-6%
Q3 2023298,943$68.76M$230.01-19,161-6%
Q2 2023318,104$75.54M$237.48-16,660-5%
Q1 2023334,764$75.48M$225.46-4,492-1%
Q4 2022339,256$70.48M$207.76-21,608-6%
Q3 2022360,864$64.11M$177.65+8230%
Q2 2022360,041$70.89M$196.89-44,010-11%
Q1 2022404,051$89.61M$221.77+20,916+5%
Q4 2021383,135$83.03M$216.71-8,361-2%
Q3 2021391,496$87.21M$222.75-21,687-5%
Q2 2021413,183$96.61M$233.82-68,177-14%
Q1 2021481,360$101.92M$211.73+26,326+6%
Q4 2020455,034$99.53M$218.73-35,619-7%
Q3 2020490,653$98.12M$199.97-23,057-4%
Q2 2020513,710$99.23M$193.17-56,979-10%
Q1 2020570,689$91.95M$161.12-38,798-6%
Q4 2019609,487$114.52M$187.90-44,266-7%
Q3 2019653,753$112.45M$172.01+33,728+5%
Q2 2019620,025$107.61M$173.55-15,028-2%
Q1 2019635,053$99.19M$156.19+68,860+12%
Q4 2018566,193$74.70M$131.94+26,682+5%
Q3 2018539,511$80.97M$150.09+145,384+37%
Q2 2018394,127$52.20M$132.45-18,210-4%
Q1 2018412,337$49.32M$119.62-16,591-4%
Q4 2017428,928$48.91M$114.02+2,432+1%
Q3 2017426,496$44.88M$105.24-3,399-1%
Q2 2017429,895$40.32M$93.78-16,526-4%
Q1 2017446,421$39.67M$88.87-16,132-3%
Q4 2016462,553$36.09M$78.02+18,595+4%
Q3 2016443,958$36.72M$82.70+242,167+120%
Q2 2016201,791$14.97M$74.17+1,627+1%
Q1 2016200,164$15.31M$76.48-20,674-9%
Q4 2015220,838$17.13M$77.55-157,112-42%
Q3 2015377,950$26.33M$69.66+6,019+2%
Q2 2015371,931$24.98M$67.15-4,374-1%
Q1 2015376,305$24.61M$65.41+280,809+294%
Q4 201495,496$25.04M$262.20+38,363+67%
Q3 201457,133$12.19M$213.36NEW