GLDI | CREDIT SUISSE GROUP

CUSIP: 225401108

0 Funds Holding
0 Total Shares
$0 Total Value
$180.89
Price
Market Cap
P/E Ratio
Forward P/E
EPS (TTM)
16.94%
Dividend Yield
Cash
Total Debt
Shares Out
$153.07
$182.99
52-Week Range

Institutional Ownership of CREDIT SUISSE GROUP

Fund / Manager Click to search
Shares Value % of Portfolio Cost Basis Est. Return
No funds currently hold this stock.

Trading Activity for CREDIT SUISSE GROUP

Fund / Manager Click to search
Action Change Shares After Value Price
2023-Q1
SELL EXIT $147.17
SELL EXIT $147.17
2022-Q4
SELL -9.1% 50.0K $152000 $146.57
BUY NEW 37.9K $115100 $146.57
2022-Q3
SELL EXIT $149.20
SELL -31.2% 55.0K $216000 $149.20
2022-Q2
SELL -14.4% 1.3M $8M $160.40
2022-Q1
SELL -9.9% 1.6M $12M $170.00
2021-Q4
BUY +10.1% 1.7M $17M $167.80
2021-Q3
BUY +4.6% 1.6M $16M $172.20
SELL EXIT $172.20
BUY +166.7% 80.0K $789000 $172.20
2021-Q2
BUY +48.4% 1.5M $16M $178.70
BUY NEW 100.0K $1M $178.70
SELL EXIT $178.70
2021-Q1
BUY +498.0% 1.0M $11M $183.70
SELL -37.4% 95.1K $1M $183.70
BUY +200.0% 30.0K $318000 $183.70
2020-Q4
SELL -32.2% 151.9K $2M $195.60
BUY NEW 171.0K $2M $195.60
BUY NEW 10.0K $128000 $195.60
2020-Q3
SELL -11.4% 223.9K $2M $201.76
2020-Q2
SELL -3.5% 252.7K $3M $196.00
2020-Q1
SELL -17.9% 261.8K $2M $182.70
2019-Q4
SELL EXIT $179.74
SELL -2.6% 318.8K $4M $179.74
2019-Q3
BUY NEW 588.5K $7M $183.80
SELL -19.0% 327.2K $4M $183.80
2019-Q2
SELL -33.4% 404.0K $5M $171.20
2019-Q1
SELL -30.0% 606.8K $7M $173.00
SELL EXIT $173.00
2018-Q4
SELL -6.1% 866.3K $9M $165.14
SELL -97.3% 10.3K $112000 $165.14
2018-Q3
BUY +1.3% 922.6K $14M $163.92
SELL -0.0% 378.6K $6M $163.92
2018-Q2
SELL -1.3% 910.8K $14M $177.99
2018-Q1
SELL -0.3% 922.4K $15M $182.60

Insider Trading for CREDIT SUISSE GROUP

No Insider Transactions
No Form 4 filings found for this stock in the last 2 years.