Current Value of Holding

$1.49 Million

Shares

16 Thousand

% of Portfolio

0.02%

Average Buy Price

$42

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19 Mario Gabelli Coca-Cola Femsa S.A.B. DE C.V. Trades

Mario Gabelli acquired 16 Thousand Coca-Cola Femsa S.A.B. DE C.V. shares worth $1.49 Million. That's 0.02% of their equity portfolio (501st largest holding). The first Coca-Cola Femsa S.A.B. DE C.V. trade was made in Q4 2001. Since then Mario Gabelli bought shares nine more times and sold shares on nine occasions. The stake costed the investor $672 Thousand, netting the investor a gain of 121% so far.

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Increased shares by 60.0% (+6 Thousand shares) Q4 2009
Avg closing price $56.63
Price range $47.75 - $66.87
Sold 50.0% shares (-10 Thousand shares) Q3 2009
Avg closing price $45.08
Price range $39.03 - $49.47
Increased shares by 100.0% (+10 Thousand shares) Q2 2009
Avg closing price $39.41
Price range $35.16 - $43.09
Sold 50.0% shares (-10 Thousand shares) Q1 2009
Avg closing price $34.33
Price range $26.41 - $45.13
Increased shares by 100.0% (+10 Thousand shares) Q4 2008
Avg closing price $36.75
Price range $27.74 - $52.67
Sold 33.3% shares (-5 Thousand shares) Q2 2008
Avg closing price $56.44
Price range $51.47 - $62.50
Sold 50.0% shares (-15 Thousand shares) Q1 2008
Avg closing price $52.00
Price range $45.79 - $58.28
Increased shares by 100.0% (+15 Thousand shares) Q4 2007
Avg closing price $44.78
Price range $40.54 - $49.28
Sold 16.7% shares (-3 Thousand shares) Q3 2007
Avg closing price $42.60
Price range $38.00 - $48.05
Sold 50.0% shares (-18 Thousand shares) Q1 2007
Avg closing price $37.40
Price range $34.05 - $41.38
Increased shares by 56.5% (+13 Thousand shares) Q4 2006
Avg closing price $38.00
Price range $38.00 - $38.00
Increased shares by 4.5% (+1 Thousand shares) Q3 2006
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Increased shares by 120.0% (+12 Thousand shares) Q4 2005
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New holding (+10 Thousand shares) Q2 2005
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Sold 83.5% shares (-208 Thousand shares) Q1 2003
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Increased shares by 259.4% (+180 Thousand shares) Q4 2002
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Sold 22.4% shares (-20 Thousand shares) Q3 2002
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Sold 10.1% shares (-10 Thousand shares) Q2 2002
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New holding (+99.3 Thousand shares) Q4 2001
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