FIRST MANHATTAN CO. LLC. Pfizer Inc. Transaction History

FIRST MANHATTAN CO. LLC. portfolio value:

$49.21M
portfolio value

FIRST MANHATTAN CO. LLC. quarter portfolio value change:

-16.54%
quarter

Pfizer Inc. 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 share Increase +0.77% 8.58K shares -9.3M $43.76 1.12M
Q2 2022 share Decrease -0.85% -9.57K shares 241K $52.43 1.11M
Q1 2022 share Increase +3.39% 36.95K shares -6.01M $51.77 1.12M
Q4 2021 share Decrease -1.37% -15.1K shares 16.81M $58.4 1.08M
Q3 2021 share Decrease -1.02% -11.38K shares 3.80M $42.63 1.10M
Q2 2021 share Decrease -0.69% -7.74K shares 2.98M $38.46 1.11M
Q1 2021 share Decrease -0.94% -10.66K shares -1.04M $35.24 1.12M
Q4 2020 share Decrease -7.27% -88.86K shares -838K $35.41 1.13M
Q3 2020 share Decrease -24.03% -386.64K shares -7.35M $33.15 1.22M
Q2 2020 share Decrease -23.35% -490.21K shares -15.09M $29.25 1.60M
Q1 2020 share Decrease -34.45% -1.10M shares -54.03M $28.9 2.09M
Q4 2019 share Decrease -6.91% -237.76K shares 1.76M $34.34 3.20M
Q3 2019 share Decrease -19.97% -858.55K shares -59.40M $31.19 3.44M
Q2 2019 share Decrease -7.74% -360.76K shares -11.07M $37.25 4.29M
Q1 2019 share Decrease -4.93% -241.37K shares -15.21M $36.2 4.65M
Q4 2018 share Decrease -5.24% -271.18K shares -13.29M $36.89 4.90M
Q3 2018 share Decrease -3.42% -183.29K shares 31.91M $36.96 5.17M
Q2 2018 share Increase +1.03% 54.44K shares 5.84M $30.17 5.35M
Q1 2018 share Decrease -0.77% -41.06K shares -5.08M $29.23 5.30M
Q4 2017 share Increase +0.13% 6.86K shares 2.86M $29.56 5.34M
Q3 2017 share Increase +0.11% 5.67K shares 10.86M $28.87 5.33M
Q2 2017 share Decrease -3.27% -180.36K shares -8.99M $26.9 5.32M
Q1 2017 share Increase +1.09% 59.41K shares 10.87M $27.14 5.50M
Q4 2016 share Increase +12.75% 616.27K shares 12.61M $25.51 5.45M
Q3 2016 share Decrease -0.99% -48.1K shares -7.75M $26.33 4.83M
Q2 2016 share Decrease -44.43% -3.90M shares -83.97M $27.15 4.88M
Q1 2016 share Increase +127.46% 4.92M shares 128.77M $22.65 8.78M