Terry SmithV history

Issuer:
VISA INC
Quarters tracked:
48 (Q2 2014Q1 2026)
Current shares:
3,104,090
Current value:
$938.18M
Peak shares:
6,868,694 (Q4 2021)
Overall change:
+433%
QuarterSharesValue$/ShareShare ΔΔ%
Q1 20263,104,090$938.18M$302.24-430,594-12%
Q4 20253,534,684$1.24B$350.71-319,652-8%
Q3 20253,854,336$1.32B$341.38+2650%
Q2 20253,854,071$1.37B$355.05-282,953-7%
Q1 20254,137,024$1.45B$350.46-485,543-11%
Q4 20244,622,567$1.46B$316.04-924,264-17%
Q3 20245,546,831$1.53B$274.95-5,6890%
Q2 20245,552,520$1.46B$262.47-138,076-2%
Q1 20245,690,596$1.59B$279.08-47,935-1%
Q4 20235,738,531$1.49B$260.35-18,0680%
Q3 20235,756,599$1.32B$230.01-4,6840%
Q2 20235,761,283$1.37B$237.48+147,863+3%
Q1 20235,613,420$1.27B$225.46+1,2750%
Q4 20225,612,145$1.17B$207.76-23,2450%
Q3 20225,635,390$1.00B$177.65+5,0480%
Q2 20225,630,342$1.11B$196.89+2,3140%
Q1 20225,628,028$1.25B$221.77-1,240,666-18%
Q4 20216,868,694$1.49B$216.71+273,645+4%
Q3 20216,595,049$1.47B$222.75+58,709+1%
Q2 20216,536,340$1.53B$233.82+44,008+1%
Q1 20216,492,332$1.37B$211.73+370,101+6%
Q4 20206,122,231$1.34B$218.73-12,4950%
Q3 20206,134,726$1.23B$199.97-16,1290%
Q2 20206,150,855$1.19B$193.17+52,218+1%
Q1 20206,098,637$982.61M$161.12-316,879-5%
Q4 20196,415,516$1.21B$187.90-30,1160%
Q3 20196,445,632$1.11B$172.01+322,102+5%
Q2 20196,123,530$1.06B$173.55+334,127+6%
Q1 20195,789,403$904.25M$156.19+64,032+1%
Q4 20185,725,371$859.32M$150.09+9,6300%
Q3 20185,715,741$857.88M$150.09-4,1360%
Q2 20185,719,877$757.60M$132.45-8410%
Q1 20185,720,718$684.31M$119.62-11,9400%
Q4 20175,732,658$653.64M$114.02+516,508+10%
Q3 20175,216,150$545.35M$104.55-1,4730%
Q2 20175,217,623$489.31M$93.78+262,930+5%
Q1 20174,954,693$440.32M$88.87+2,4010%
Q4 20164,952,292$387.96M$78.34+7,7550%
Q3 20164,944,537$408.91M$82.70+4,944,537+100%
Q2 2016SOLD-3,922,506-100%
Q1 20163,922,506$299.99M$76.48+1,130,885+41%
Q4 20152,791,621$216.49M$77.55+185,620+7%
Q3 20152,606,001$181.53M$69.66+48,211+2%
Q2 20152,557,790$171.76M$67.15+11,2870%
Q1 20152,546,503$166.26M$65.29+1,948,755+326%
Q4 2014597,748$156.73M$262.2000%
Q3 2014597,748$127.54M$213.37+15,764+3%
Q2 2014581,984$122.63M$210.71NEW