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30 Ken Griffin California Resources - Ordinary Shares - New Trades

Ken Griffin's position in California Resources - Ordinary Shares - New is currently worth $29.7 Million. That's 0.03% of their equity portfolio (648th largest holding). The first California Resources - Ordinary Shares - New trade was made in Q2 2016. Since then Ken Griffin bought shares 53 more times and sold shares on 33 occasions. The stake costed the investor $23.9 Million, netting the investor a gain of 24% so far.

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Increased shares by 454.7% (+443 Thousand shares) Q4 2023
Avg closing price $52.58
Price range $49.04 - $55.87
Increased shares by 55279.0% (+97.3 Thousand shares) Q3 2023
Avg closing price $53.25
Price range $44.32 - $58.00
Sold 99.7% shares (-56.5 Thousand shares) Q2 2023
Avg closing price $40.58
Price range $37.54 - $45.71
Increased shares by 75.8% (+24.4 Thousand shares) Q1 2023
Avg closing price $41.39
Price range $35.32 - $47.83
Sold 9.7% shares (-3.46 Thousand shares) Q4 2022
Avg closing price $43.82
Price range $40.00 - $48.81
Increased shares by 270.9% (+26.1 Thousand shares) Q3 2022
Avg closing price $43.47
Price range $36.14 - $50.71
Sold 78.8% shares (-35.8 Thousand shares) Q2 2022
Avg closing price $42.88
Price range $36.52 - $48.69
Sold 76.3% shares (-146 Thousand shares) Q1 2022
Avg closing price $43.11
Price range $38.15 - $49.48
Increased shares by 78.6% (+84.2 Thousand shares) Q4 2021
Avg closing price $42.78
Price range $38.63 - $46.13
Sold 56.5% shares (-139 Thousand shares) Q3 2021
Avg closing price $32.66
Price range $25.28 - $43.00
Increased shares by 169.0% (+155 Thousand shares) Q2 2021
Avg closing price $27.50
Price range $22.31 - $33.28
New holding (+91.5 Thousand shares) Q1 2021
Avg closing price $24.80
Price range $22.37 - $26.61
Sold -185 Thousand shares Q3 2020
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Increased shares by 71.1% (+77 Thousand shares) Q2 2020
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Increased shares by 285.7% (+80.2 Thousand shares) Q1 2020
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Sold 97.9% shares (-1.33 Million shares) Q4 2019
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Increased shares by 636.2% (+1.18 Million shares) Q3 2019
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Increased shares by 429.5% (+150 Thousand shares) Q2 2019
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Sold 60.0% shares (-52.3 Thousand shares) Q1 2019
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Sold 79.2% shares (-332 Thousand shares) Q4 2018
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