FIL LTD Eli Lilly and Company Transaction History

FIL LTD portfolio value:

$60.75M
portfolio value

FIL LTD quarter portfolio value change:

-0.27%
quarter

Eli Lilly and Company 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 share Increase +43.13% 56.61K shares 18.19M $323.35 187.88K
Q2 2022 share Decrease -8.43% -12.09K shares 1.50M $324.23 131.27K
Q1 2022 share Decrease -41.77% -102.83K shares -26.95M $286.37 143.36K
Q4 2021 share Increase +2.65% 6.35K shares 12.58M $277.25 246.19K
Q3 2021 share Increase +4.07% 9.37K shares 2.51M $230.3 239.84K
Q2 2021 share Decrease -10.92% -28.26K shares 4.56M $228.04 230.47K
Q1 2021 share 0.00% 0 shares 4.65M $184.81 258.73K
Q4 2020 share Increase +132586.67% 258.54K shares 43.65M $166.32 258.73K
Q3 2020 share 0.00% 0 shares -3K $145.05 195
Q2 2020 share Decrease -2.50% -5 shares 4K $160.1 195
Q1 2020 share Decrease -30.80% -89 shares -10K $134.64 200
Q4 2019 share Decrease -99.86% -199.46K shares -22.30M $126.91 289
Q3 2019 share Decrease -30.19% -86.38K shares -9.36M $107.36 199.75K
Q2 2019 share Decrease -6.50% -19.87K shares -8.00M $105.74 286.14K
Q1 2019 share Increase +59.02% 113.58K shares 17.44M $123.17 306.02K
Q4 2018 share Decrease -28.70% -77.45K shares -6.69M $109.26 192.43K
Q3 2018 share Increase +16.15% 37.52K shares 9.13M $100.8 269.89K
Q2 2018 share Decrease -43.33% -177.69K shares -11.89M $79.72 232.36K
Q1 2018 share Decrease -21.66% -113.39K shares -12.48M $71.78 410.06K
Q4 2017 share Decrease -20.80% -137.50K shares -12.32M $77.79 523.46K
Q3 2017 share Decrease -4.49% -31.08K shares -416K $78.29 660.96K
Q2 2017 share Decrease -16.62% -137.9K shares -12.85M $74.85 692.05K
Q1 2017 share Decrease -4.72% -41.14K shares 5.73M $76 829.95K
Q4 2016 share Decrease -5.70% -52.67K shares -10.07M $66.02 871.09K
Q3 2016 share Decrease -1.85% -17.38K shares 26K $71.57 923.77K
Q2 2016 share Decrease -1.26% -12.05K shares 5.47M $69.79 941.15K
Q1 2016 share Increase +189.12% 623.51K shares 40.86M $63.39 953.20K