Mason HawkinsGHC history

Issuer:
GRAHAM HLDGS CO
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
37,760
Current value:
$39.92M
Peak shares:
789,628 (Q3 2016)
Overall change:
-94%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 202637,760$39.92M$1057.26+2,039+6%
Q4 202535,721$39.24M$1098.60+364+1%
Q3 202535,357$41.63M$1177.31-7,542-18%
Q2 202542,899$40.59M$946.18-12,258-22%
Q1 202555,157$53.00M$960.86-3,902-7%
Q4 202459,059$51.49M$871.92-13,747-19%
Q3 202472,806$59.83M$821.72-9,490-12%
Q2 202482,296$57.57M$699.55-5,455-6%
Q1 202487,751$67.36M$767.68+439+1%
Q4 202387,312$60.81M$696.53-1,864-2%
Q3 202389,176$51.99M$583.00-652-1%
Q2 202389,828$51.34M$571.48-24,207-21%
Q1 2023114,035$67.95M$595.83-1,698-1%
Q4 2022115,733$69.93M$604.22-139,685-55%
Q3 2022255,418$137.41M$537.98-3,221-1%
Q2 2022258,639$146.61M$566.84-27,159-10%
Q1 2022285,798$174.76M$611.47-14,070-5%
Q4 2021299,868$188.87M$629.83+34,529+13%
Q3 2021265,339$156.33M$589.16+46,904+21%
Q2 2021218,435$138.47M$633.90+10,417+5%
Q1 2021208,018$117.00M$562.44-13,864-6%
Q4 2020221,882$118.35M$533.38-57,353-21%
Q3 2020279,235$112.84M$404.11-29,255-9%
Q2 2020308,490$105.71M$342.67-63,952-17%
Q1 2020372,442$127.07M$341.17-87,184-19%
Q4 2019459,626$293.70M$638.99-6,058-1%
Q3 2019465,684$308.96M$663.45-5460%
Q2 2019466,230$321.71M$690.03-46,671-9%
Q1 2019512,901$350.40M$683.18-137,208-21%
Q4 2018650,109$416.45M$640.58-26,543-4%
Q3 2018676,652$391.98M$579.30-19,566-3%
Q2 2018696,218$408.05M$586.1000%
Q1 2018696,218$419.30M$602.25+8,736+1%
Q4 2017687,482$383.86M$558.35-55,190-7%
Q3 2017742,672$434.54M$585.10-23,752-3%
Q2 2017766,424$459.59M$599.65-4000%
Q1 2017766,824$459.75M$599.55-1,5470%
Q4 2016768,371$393.37M$511.95-21,257-3%
Q3 2016789,628$380.10M$481.37+80,144+11%
Q2 2016709,484$347.32M$489.54-15,267-2%
Q1 2016724,751$347.88M$480.00+21,699+3%
Q4 2015703,052$340.96M$484.97+5,760+1%
Q3 2015697,292$402.34M$577.00+20,670+3%
Q2 2015676,622$727.40M$1075.05-15,489-2%
Q1 2015692,111$726.46M$1049.63-42,758-6%
Q4 2014734,869$634.71M$863.71+37,988+5%
Q3 2014696,881$487.53M$699.59+95,509+16%
Q2 2014601,372$431.85M$718.11NEW