Current Value of Holding

$4.28 Million

Shares

97 Thousand

% of Portfolio

0.04%

Average Buy Price

$47.7

Avg closing price
Price range

22 Paul Tudor Jones II California Resources Trades

Paul Tudor Jones II acquired 97 Thousand California Resources shares worth $4.28 Million. That's 0.04% of their equity portfolio (504th largest holding). The first California Resources trade was made in Q4 2017. Since then Paul Tudor Jones II bought shares fourteen more times and sold shares on eleven occasions. The investor's estimated purchase price is $4.62 Million, resulting in a loss of 7.3%.

Avg closing price
Price range
New holding (+97 Thousand shares) Q1 2025
Avg closing price $47.65
Price range $39.17 - $54.39
Sold -27.8 Thousand shares Q4 2024
Avg closing price $54.29
Price range $50.21 - $59.59
New holding (+27.8 Thousand shares) Q3 2024
Avg closing price $50.63
Price range $43.29 - $54.04
Sold -70.4 Thousand shares Q2 2024
Avg closing price $51.02
Price range $43.91 - $56.94
New holding (+70.4 Thousand shares) Q1 2024
Avg closing price $52.21
Price range $46.21 - $56.16
Sold -155 Thousand shares Q2 2023
Avg closing price $40.58
Price range $37.54 - $45.71
Increased shares by 486.5% (+128 Thousand shares) Q1 2023
Avg closing price $41.39
Price range $35.32 - $47.83
New holding (+26.4 Thousand shares) Q4 2022
Avg closing price $43.82
Price range $40.00 - $48.81
Sold -8.15 Thousand shares Q3 2022
Avg closing price $43.47
Price range $36.14 - $50.71
Sold 75.1% shares (-24.5 Thousand shares) Q2 2022
Avg closing price $42.88
Price range $36.52 - $48.69
Increased shares by 292.0% (+24.3 Thousand shares) Q1 2022
Avg closing price $43.11
Price range $38.15 - $49.48
Sold 93.8% shares (-126 Thousand shares) Q4 2021
Avg closing price $42.78
Price range $38.63 - $46.13
Increased shares by 16.6% (+19.2 Thousand shares) Q3 2021
Avg closing price $32.66
Price range $25.28 - $43.00
New holding (+115 Thousand shares) Q2 2021
Avg closing price $27.50
Price range $22.31 - $33.28
Sold -40.7 Thousand shares Q2 2020
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Increased shares by 66.7% (+16.3 Thousand shares) Q1 2020
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New holding (+24.4 Thousand shares) Q4 2019
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Sold -60 Thousand shares Q4 2018
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Increased shares by 152.0% (+36.2 Thousand shares) Q3 2018
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Sold 5.8% shares (-1.46 Thousand shares) Q2 2018
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