The first Starbucks trade was made in Q1 2013.
Since then Jeremy Grantham bought shares nine more times and sold shares on ten occasions. The investor sold all their shares in Q2 2021 and doesn't own any shares in Starbucks anymore.
Avg closing price
Price range
Sold -13.5 Thousand shares
Q2 2021
Avg closing price
$113.05
Price range
$109.38
-
$118.34
New holding (+13.5 Thousand shares)
Q1 2021
Avg closing price
$105.00
Price range
$96.81
-
$111.34
Sold -1.18 Million shares
Q4 2020
Avg closing price
$95.48
Price range
$85.97
-
$106.98
Sold 7.7% shares (-98 Thousand shares)
Q3 2020
Avg closing price
$79.76
Price range
$72.65
-
$88.38
Increased shares by 0.6% (+7.79 Thousand shares)
Q2 2020
Avg closing price
$75.15
Price range
$62.62
-
$83.56
New holding (+1.27 Million shares)
Q1 2020
Avg closing price
$80.88
Price range
$56.33
-
$93.75
Sold -2.9 Thousand shares
Q4 2019
Avg closing price
$85.27
Price range
$81.77
-
$88.78
New holding (+2.9 Thousand shares)
Q3 2019
Avg closing price
$92.71
Price range
$84.55
-
$99.11
Sold -4.8 Thousand shares
Q2 2016
Avg closing price
$56.86
Price range
$53.69
-
$61.17
Sold 0.3% shares (-14 shares)
Q3 2015
Avg closing price
$56.03
Price range
$50.34
-
$59.01
Increased shares by 100.0% (+2.41 Thousand shares)
Q2 2015
Avg closing price
$50.73
Price range
$46.51
-
$54.62
New holding (+2.41 Thousand shares)
Q1 2015
Avg closing price
$44.92
Price range
$39.62
-
$48.96
Sold -5.53 Thousand shares
Q4 2014
Avg closing price
$39.06
Price range
$36.10
-
$41.90
Sold 99.3% shares (-824 Thousand shares)
Q3 2014
Avg closing price
$38.68
Price range
$36.98
-
$40.22
Sold 20.9% shares (-219 Thousand shares)
Q2 2014
Avg closing price
$36.32
Price range
$34.36
-
$39.06
Increased shares by 100.7% (+526 Thousand shares)
Q1 2014
Avg closing price
$36.98
Price range
$34.48
-
$39.02
Sold 0.3% shares (-1.66 Thousand shares)
Q4 2013
Avg closing price
$39.56
Price range
$37.63
-
$41.00
Increased shares by 0.5% (+2.6 Thousand shares)
Q3 2013
Avg closing price
$35.90
Price range
$33.12
-
$38.66
Increased shares by 3.1% (+15.5 Thousand shares)
Q2 2013