FIRST MANHATTAN CO. LLC. – Ingredion Incorporated Transaction History
FIRST MANHATTAN CO. LLC. portfolio value:
$30.16M
portfolio value
FIRST MANHATTAN CO. LLC. quarter portfolio value change:
-8.67%
quarter
Ingredion Incorporated 13F transactions
Quarter | Transaction type | Change | Relative change | Absolute change | Change value | Avg. price | Shares |
---|---|---|---|---|---|---|---|
Q3 2022 | share | Decrease | -4.25% | -16.62K shares | -4.32M | $80.52 | 374.65K |
Q2 2022 | share | Decrease | -0.41% | -1.59K shares | 256K | $88.16 | 391.27K |
Q1 2022 | share | Decrease | -0.29% | -1.15K shares | -3.84M | $87.15 | 392.87K |
Q4 2021 | share | Increase | +0.02% | 75 shares | 3.01M | $95.85 | 394.02K |
Q3 2021 | share | Decrease | -0.82% | -3.24K shares | -881K | $88.38 | 393.94K |
Q2 2021 | share | Decrease | -0.60% | -2.37K shares | 17K | $89.85 | 397.19K |
Q1 2021 | share | Decrease | -0.64% | -2.56K shares | 4.29M | $88.65 | 399.57K |
Q4 2020 | share | Decrease | -4.37% | -18.39K shares | -189K | $77.01 | 402.13K |
Q3 2020 | share | Decrease | -1.47% | -6.27K shares | -3.59M | $73.49 | 420.52K |
Q2 2020 | share | Increase | +0.16% | 700 shares | 3.25M | $79.92 | 426.80K |
Q1 2020 | share | Decrease | -1.71% | -7.4K shares | -8.12M | $72.15 | 426.10K |
Q4 2019 | share | Decrease | -1.60% | -7.07K shares | 4.28M | $88.09 | 433.50K |
Q3 2019 | share | Decrease | -0.22% | -985 shares | -412K | $76.95 | 440.57K |
Q2 2019 | share | Increase | +2.18% | 9.42K shares | -4.49M | $77.06 | 441.55K |
Q1 2019 | share | Increase | +0.43% | 1.83K shares | 1.58M | $87.79 | 432.13K |
Q4 2018 | share | Decrease | -1.31% | -5.71K shares | -6.43M | $84.18 | 430.30K |
Q3 2018 | share | Increase | +0.88% | 3.8K shares | -2.08M | $96.02 | 436.02K |
Q2 2018 | share | Increase | +1.03% | 4.39K shares | -7.30M | $100.67 | 432.22K |
Q1 2018 | share | Decrease | -1.20% | -5.2K shares | -5.38M | $116.6 | 427.82K |
Q4 2017 | share | Decrease | -2.95% | -13.14K shares | 6.71M | $125.86 | 433.02K |
Q3 2017 | share | Decrease | -0.71% | -3.2K shares | 256K | $108.15 | 446.17K |
Q2 2017 | share | Decrease | -0.13% | -583 shares | -618K | $106.33 | 449.37K |
Q1 2017 | share | Decrease | -0.84% | -3.80K shares | -2.51M | $106.96 | 449.96K |
Q4 2016 | share | Decrease | -1.04% | -4.74K shares | -4.30M | $110.53 | 453.76K |
Q3 2016 | share | Decrease | -2.78% | -13.13K shares | -26K | $117.23 | 458.51K |
Q2 2016 | share | Decrease | -1.07% | -5.08K shares | 10.12M | $113.58 | 471.64K |
Q1 2016 | share | Decrease | -1.19% | -5.73K shares | 4.67M | $93.39 | 476.72K |