Current Value of Holding

$12.4 Million

Shares

34.3 Thousand

% of Portfolio

0.02%

Average Buy Price

$278

Avg closing price
Price range

22 Jim Simons Axon Enterprise Trades

Jim Simons's position in Axon Enterprise is currently worth $12.4 Million. That's 0.02% of their equity portfolio (800th largest holding). The first Axon Enterprise trade was made in Q3 2017. Since then Jim Simons bought shares nine more times and sold shares on twelve occasions. The stake costed the investor $9.52 Million, netting the investor a gain of 30% so far.

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Price range
Sold 13.4% shares (-5.31 Thousand shares) Q2 2024
Avg closing price $298.42
Price range $276.22 - $327.64
New holding (+39.6 Thousand shares) Q1 2024
Avg closing price $277.92
Price range $244.21 - $319.88
Sold -6.65 Thousand shares Q4 2023
Avg closing price $225.35
Price range $192.06 - $259.08
Sold 97.2% shares (-233 Thousand shares) Q3 2023
Avg closing price $196.69
Price range $175.73 - $216.06
Increased shares by 132.5% (+137 Thousand shares) Q2 2023
Avg closing price $207.16
Price range $188.71 - $227.53
New holding (+103 Thousand shares) Q1 2023
Avg closing price $198.81
Price range $165.74 - $224.85
Sold -68.1 Thousand shares Q3 2022
Avg closing price $113.33
Price range $91.26 - $133.23
New holding (+68.1 Thousand shares) Q2 2022
Avg closing price $105.73
Price range $84.37 - $140.00
Sold -200 Thousand shares Q1 2022
Avg closing price $137.15
Price range $120.30 - $152.87
New holding (+200 Thousand shares) Q4 2021
Avg closing price $167.89
Price range $138.89 - $185.27
Sold -176 Thousand shares Q2 2021
Avg closing price $147.22
Price range $123.43 - $176.80
Sold 4.9% shares (-9.1 Thousand shares) Q1 2021
Avg closing price $160.03
Price range $133.45 - $203.51
Increased shares by 80.0% (+82.2 Thousand shares) Q4 2020
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Sold 0.2% shares (-200 shares) Q3 2020
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Sold 9.7% shares (-11 Thousand shares) Q2 2020
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New holding (+114 Thousand shares) Q1 2020
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Sold -205 Thousand shares Q1 2019
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Increased shares by 6.5% (+12.6 Thousand shares) Q4 2018
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Sold 27.6% shares (-73.3 Thousand shares) Q3 2018
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New holding (+266 Thousand shares) Q2 2018
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