NEXUS INVESTMENT MANAGEMENT ULC Pfizer Inc. Transaction History

NEXUS INVESTMENT MANAGEMENT ULC portfolio value:

$30.98M
portfolio value

NEXUS INVESTMENT MANAGEMENT ULC 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 +0.84% 5.92K shares -5.82M $43.76 707.99K
Q2 2022 share Decrease -8.01% -61.13K shares -2.70M $52.43 702.06K
Q1 2022 share Decrease -1.34% -10.37K shares -6.16M $51.77 763.20K
Q4 2021 share Increase +0.19% 1.45K shares 12.47M $58.4 773.57K
Q3 2021 share Decrease -0.86% -6.67K shares 2.71M $42.63 772.12K
Q2 2021 share Increase +0.09% 725 shares 2.30M $38.46 778.8K
Q1 2021 share Increase +4.89% 36.25K shares 542K $35.24 778.07K
Q4 2020 share Decrease -2.86% -21.87K shares 1.05M $35.41 741.82K
Q3 2020 share Increase +0.38% 2.89K shares 2.98M $33.15 763.70K
Q2 2020 share Increase +1.11% 8.32K shares 301K $29.25 760.80K
Q1 2020 share Increase +5.49% 39.13K shares -3.21M $28.9 752.47K
Q4 2019 share Decrease -0.96% -6.90K shares 1.96M $34.34 713.34K
Q3 2019 share Increase +0.07% 474 shares -5.03M $31.19 720.24K
Q2 2019 share Increase +2.09% 14.72K shares 1.17M $37.25 719.77K
Q1 2019 share Decrease -1.20% -8.59K shares -1.14M $36.2 705.04K
Q4 2018 share Decrease -0.99% -7.12K shares -583K $36.89 713.63K
Q3 2018 share Decrease -1.23% -8.94K shares 5.02M $36.96 720.76K
Q2 2018 share Increase +0.46% 3.32K shares 658K $30.17 729.70K
Q1 2018 share Increase +6.27% 42.84K shares 970K $29.23 726.38K
Q4 2017 share Decrease -0.61% -4.16K shares 196K $29.56 683.54K
Q3 2017 share Increase +0.44% 2.99K shares 1.47M $28.87 687.70K
Q2 2017 share Increase +0.74% 5.06K shares -239K $26.9 684.71K
Q1 2017 share Increase +1.64% 10.95K shares 1.46M $27.14 679.65K
Q4 2016 share Increase +0.22% 1.47K shares -843K $25.51 668.7K
Q3 2016 share Increase +1.06% 6.97K shares -615K $26.33 667.22K
Q2 2016 share Increase +0.93% 6.06K shares 3.65M $27.15 660.24K
Q1 2016 share Decrease -0.37% -2.42K shares -1.71M $22.65 654.18K