The first Franklin Resources trade was made in Q1 2013.
Since then John W. Rogers Jr. bought shares eight more times and sold shares on eleven occasions. The investor completely sold their stake between Q1 2016 and Q4 2017.
Avg closing price
Price range
Sold -296 Thousand shares
Q4 2017
Avg closing price
$43.31
Price range
$40.45
-
$45.07
Sold 54.2% shares (-350 Thousand shares)
Q3 2017
Avg closing price
$43.82
Price range
$41.04
-
$47.28
Sold 32.6% shares (-313 Thousand shares)
Q2 2017
Avg closing price
$42.73
Price range
$40.59
-
$44.87
Sold 37.0% shares (-562 Thousand shares)
Q1 2017
Avg closing price
$41.49
Price range
$39.74
-
$43.91
Sold 16.3% shares (-296 Thousand shares)
Q4 2016
Avg closing price
$37.43
Price range
$33.18
-
$42.02
Sold 3.7% shares (-70 Thousand shares)
Q3 2016
Avg closing price
$35.37
Price range
$32.30
-
$36.87
Sold 0.6% shares (-11.8 Thousand shares)
Q2 2016
Avg closing price
$36.33
Price range
$30.67
-
$40.98
Sold 6.3% shares (-127 Thousand shares)
Q1 2016
Avg closing price
$35.39
Price range
$31.45
-
$39.14
Increased shares by 0.9% (+18.2 Thousand shares)
Q4 2015
Avg closing price
$39.11
Price range
$35.00
-
$41.92
Increased shares by 3.9% (+74.9 Thousand shares)
Q3 2015
Avg closing price
$43.29
Price range
$36.36
-
$49.63
Sold 0.2% shares (-3.31 Thousand shares)
Q2 2015
Avg closing price
$51.30
Price range
$48.89
-
$52.63
Increased shares by 4.7% (+86.2 Thousand shares)
Q1 2015
Avg closing price
$53.07
Price range
$50.99
-
$55.49
Sold 0.5% shares (-8.8 Thousand shares)
Q4 2014
Avg closing price
$55.26
Price range
$50.30
-
$58.84
Increased shares by 6.6% (+116 Thousand shares)
Q3 2014
Avg closing price
$56.07
Price range
$53.17
-
$58.22
Increased shares by 3.2% (+53.8 Thousand shares)
Q2 2014
Avg closing price
$54.70
Price range
$51.45
-
$58.16
Increased shares by 14.1% (+208 Thousand shares)
Q1 2014
Avg closing price
$53.83
Price range
$50.20
-
$58.51
Increased shares by 2.0% (+28.8 Thousand shares)
Q4 2013
Avg closing price
$53.91
Price range
$49.52
-
$57.73
Increased shares by 252.8% (+1.04 Million shares)
Q3 2013