Company Holdings | All | HGV | FCN |
Direct | Indirect Ownership | Total | |
Shares | 51,314 | 0 | 51,314 |
Value | $4,001,086.08 | $0.00 | $4,001,086.08 |
Ticker |
Trans. Date |
Trans. Type |
Shares |
Ownership Type |
Issue Type |
Price |
Trans. Value |
Total Shares Owned |
---|---|---|---|---|---|---|---|---|
HGV | 03/04/2024 | AAP | 5,425 | Direct | COM | $46.07 | $249,945.48 | 36,022 |
FCN | 02/23/2024 | AAP | 1,120 | Direct | COM | $222.96 | $249,715.20 | 15,292 |
FCN | 08/15/2023 | DDS | 3,991 | Direct | COM | $191.45 | $764,076.95 | 14,172 |
FCN | 08/02/2021 | DDS | 6,594 | Direct | COM | $144.16 | $950,591.04 | 16,248 |
FCN | 08/02/2021 | DDS | 906 | Direct | COM | $145.02 | $131,388.12 | 15,342 |
FCN | 07/31/2020 | DDS | 920 | Direct | COM | $119.09 | $109,562.80 | 25,074 |
FCN | 07/31/2020 | DDS | 3,280 | Direct | COM | $119.96 | $393,468.80 | 21,794 |
FCN | 07/31/2020 | DDS | 800 | Direct | COM | $120.78 | $96,624.00 | 20,994 |
FCN | 07/26/2019 | DDS | 7,345 | Direct | COM | $103.03 | $756,755.35 | 26,644 |
FCN | 07/26/2019 | DDS | 2,644 | Direct | COM | $103.02 | $272,384.88 | 24,000 |
FCN | 11/05/2018 | DDS | 9,900 | Direct | COM | $66.34 | $656,766.00 | 31,055 |
FCN | 11/02/2018 | DDS | 1,100 | Direct | COM | $68.02 | $74,822.00 | 40,955 |
FCN | 06/04/2018 | DDS | 15,966 | Direct | COM | $62.94 | $1,004,962.31 | 38,189 |
FCN | 11/18/2016 | DDS | 4,707 | Direct | COM | $42.85 | $201,699.66 | 46,811 |
FCN | 12/19/2013 | DDS | 1,059 | Direct | COM | $41.47 | $43,912.81 | 26,785 |
FCN | 12/19/2013 | DDS | 9,941 | Direct | COM | $41.38 | $411,326.77 | 27,844 |
FCN | 12/17/2013 | DDS | 11,000 | Direct | COM | $42.00 | $462,000.00 | 37,785 |
FCN | 12/10/2009 | DDS | 9,375 | Direct | COM | $45.66 | $428,062.50 | 21,104 |
FCN | 11/25/2008 | DDS | 9,375 | Direct | COM | $47.05 | $441,093.75 | 28,125 |
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Transaction Type Key First letter: A = Acquired, D = Disposed Second letter: A = Grant, award or other acquisition pursuant to Rule 16b-3(d) C = Conversion of derivative security | D = Disposition to the issuer of issuer equity securities pursuant to Rule 16b-3(e) | E = Expiration of short derivative position | F = Payment of exercise price or tax liability by delivering or withholding securities incident to the receipt, exercise or vesting of a security issued in accordance with Rule 16b-3. | G = Gift | H = Expiration (or cancellation) of long derivative position with value received | I = Discretionary transaction in accordance with Rule 16b-3(f) | J = Other | L = Small acquisition under Rule 16a-6 | M = Exercise or conversion of derivative security exempted pursuant to Rule 16b-3 | O = Exercise of out-of-the-money derivative security | P = Open market or private purchase | S = Open market or private sale | U = Disposition pursuant to a tender of shares in a change of control transaction | W = Acquisition or disposition by will or the laws of descent and distribution | X = Exercise of in-the-money or at-the-money derivative security | Z = Deposit into or withdrawal from voting trust |
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