SMITH, GRAHAM & CO., INVESTMENT ADVISORS, LP Select Medical Holdings Corporation Transaction History

SMITH, GRAHAM & CO., INVESTMENT ADVISORS, LP portfolio value:

$9.67M
portfolio value

SMITH, GRAHAM & CO., INVESTMENT ADVISORS, LP quarter portfolio value change:

-6.44%
quarter

Select Medical Holdings Corporation 13F transactions

Quarter Transaction type Change Relative change Absolute change Change value Avg. price Shares
Q3 2022 share Decrease -0.14% -611 shares -680K $22.1 437.75K
Q2 2022 share Decrease -0.99% -4.37K shares -267K $23.62 438.36K
Q1 2022 share Decrease -0.65% -2.89K shares -2.48M $23.99 442.74K
Q4 2021 share Decrease -7.49% -36.10K shares -4.32M $29.82 445.63K
Q3 2021 share Decrease -7.94% -41.54K shares -4.68M $36.04 481.73K
Q2 2021 share Decrease -17.95% -114.48K shares 366K $41.95 523.28K
Q1 2021 share Decrease -4.18% -27.79K shares 3.33M $33.74 637.76K
Q4 2020 share Decrease -1.80% -12.18K shares 4.29M $27.37 665.55K
Q3 2020 share Decrease -1.49% -10.25K shares 3.97M $20.6 677.73K
Q2 2020 share Increase +11.34% 70.08K shares 865K $14.57 687.99K
Q1 2020 share Decrease -9.08% -61.72K shares -6.59M $14.84 617.90K
Q4 2019 share Decrease -2.60% -18.17K shares 4.3M $23.09 679.62K
Q3 2019 share Increase +0.57% 3.94K shares 551K $16.39 697.79K
Q2 2019 share Increase +7.98% 51.28K shares 1.95M $15.7 693.85K
Q1 2019 share Increase +31.36% 153.41K shares 1.54M $13.94 642.57K
Q4 2018 share Decrease -4.92% -25.3K shares -1.95M $15.19 489.16K
Q3 2018 share Decrease -9.02% -51.03K shares -798K $18.21 514.46K
Q2 2018 share Decrease -0.35% -1.97K shares 475K $17.96 565.49K
Q1 2018 share Decrease -1.96% -11.36K shares -427K $17.07 567.46K
Q4 2017 share Decrease -13.82% -92.79K shares -2.67M $17.46 578.82K
Q3 2017 share Decrease -1.02% -6.9K shares 2.48M $19 671.61K
Q2 2017 share Decrease -5.17% -37.02K shares 863K $15.19 678.51K
Q1 2017 share Decrease -1.86% -13.56K shares -109K $13.21 715.53K
Q4 2016 share Increase +10.60% 69.89K shares 762K $13.11 729.09K
Q3 2016 share Increase +2.99% 19.11K shares 1.94M $13.36 659.20K
Q2 2016 share Decrease -6.24% -42.61K shares -1.10M $10.75 640.09K
Q1 2016 share Increase +3.62% 23.86K shares 216K $11.68 682.70K