Guy Spier - Aquamarine Capital Management,
Period:    Q2 2022
Portfolio date:    30 Jun 2022
No. of stocks:    12
Portfolio value:    $170,229,000
Holdings Activity Buys Sells    History
Holding/activity history for  Bank of America Corp. (BAC)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2022   Q2 767,845 14.04 $31.13 $23,903,000 SEC
2022   Q1 767,845 14.34 $41.22 $31,651,000 SEC
2021   Q4 767,845 15.70 $44.49 $34,161,000 SEC
2021   Q3 767,845 15.98 $42.45 $32,595,000 SEC
2021   Q2 767,845 14.85 $41.23 $31,658,000 SEC
2021   Q1 767,845 15.52 $38.69 $29,708,000 SEC
2020   Q4 767,845 13.58 $30.31 $23,273,000 SEC
2020   Q3 767,845 12.20 $24.09 $18,497,000 SEC
2020   Q2 767,845 13.28 $23.75 $18,236,000 SEC
2020   Q1 767,845 11.12 $21.23 $16,301,000 SEC
2019   Q4 767,845 12.45 $35.22 $27,043,000 SEC
2019   Q3 767,845 11.31 $29.17 $22,398,000 SEC
2019   Q2 767,845 11.53 $29.00 $22,268,000 SEC
2019   Q1 767,845 11.69 Add 30.14% 2.71 $27.59 $21,185,000 SEC
2018   Q4 590,000 8.18 $24.64 $14,538,000 SEC
2018   Q3 590,000 8.36 $29.46 $17,381,000 SEC
2018   Q2 590,000 7.83 $28.19 $16,632,000 SEC
2018   Q1 590,000 8.50 $29.99 $17,694,000 SEC
2017   Q4 590,000 8.34 $29.52 $17,417,000 SEC
2017   Q3 590,000 7.59 $25.34 $14,951,000 SEC
2017   Q2 590,000 8.74 $24.26 $14,313,000 SEC
2017   Q1 590,000 8.58 $23.59 $13,918,000 SEC
2016   Q4 590,000 8.74 Buy 8.74 $22.10 $13,039,000 SEC
2015   Q1 0 0.00 Sell 100.00% 6.99 SEC
2014   Q4 590,000 6.99 $17.89 $10,555,000 SEC