First Eagle Investment Management LLCNVGS history

Issuer:
NAVIGATOR HLDGS LTD
Quarters tracked:
21 (Q2 2021Q2 2026)
Current shares:
1,030,819
Current value:
$19.20M
Peak shares:
1,030,819 (Q2 2026)
Overall change:
+27170%
QuarterSharesValue$/ShareShare ΔΔ%
Q2 20261,030,819$19.20M$18.63+250,200+32%
Q1 2026780,619$15.09M$19.33+85,000+12%
Q4 2025695,619$12.05M$17.32-1,5000%
Q3 2025697,119$10.80M$15.49+7,574+1%
Q2 2025689,545$9.76M$14.15+14,100+2%
Q1 2025675,445$8.99M$13.31+33,700+5%
Q4 2024641,745$9.85M$15.35+46,807+8%
Q3 2024594,938$9.56M$16.07+34,900+6%
Q2 2024560,038$9.78M$17.46+20,500+4%
Q1 2024539,538$8.28M$15.35+33,100+7%
Q4 2023506,438$7.37M$14.55+7,645+2%
Q3 2023498,793$7.37M$14.77+82,066+20%
Q2 2023416,727$5.42M$13.01+18,080+5%
Q1 2023398,647$5.58M$14.00+73,000+22%
Q4 2022325,647$3.90M$11.96+69,031+27%
Q3 2022256,616$2.94M$11.45+9,542+4%
Q2 2022247,074$2.79M$11.29+43,011+21%
Q1 2022204,063$2.49M$12.21+98,649+94%
Q4 2021105,414$935K$8.87+75,234+249%
Q3 202130,180$269K$8.91+26,400+698%
Q2 20213,780$41K$10.85NEW