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      Current Value of Holding

      $1.12B

      Shares

      4.24M

      % of Portfolio

      4.95%

      Average Buy Price

      $197

      Avg closing price
      Price range

      34 Terry Smith Marriott International Trades

      Terry Smith's position in Marriott International is currently worth $1.12B. That's 4.95% of their equity portfolio (9th largest holding). The investor owns 1.54% of the outstanding Marriott International stock. The first Marriott International trade was made in Q1 2015. Since then Terry Smith bought shares seventeen more times and sold shares on sixteen occasions. The stake costed the investor $836M, netting the investor a gain of 34% so far.

      Avg closing price
      Price range
      Sold 0.4% shares (-15k shares) Q2 2025
      Avg closing price $250.53
      Price range $211.12 - $274.14
      Sold 0.1% shares (-3.78k shares) Q1 2025
      Avg closing price $272.10
      Price range $237.01 - $304.45
      Sold 0.3% shares (-11.3k shares) Q4 2024
      Avg closing price $275.16
      Price range $246.08 - $292.59
      Increased shares by 0.1% (+2.14k shares) Q3 2024
      Avg closing price $233.03
      Price range $211.35 - $255.11
      Sold 2.3% shares (-99.8k shares) Q2 2024
      Avg closing price $240.03
      Price range $228.38 - $258.55
      Sold 0.6% shares (-27.2k shares) Q1 2024
      Avg closing price $242.17
      Price range $219.04 - $255.27
      Sold 0.1% shares (-4.18k shares) Q4 2023
      Avg closing price $202.73
      Price range $185.26 - $225.51
      Increased shares by 2236.5% (+4.21M shares) Q3 2023
      Avg closing price $198.65
      Price range $182.04 - $208.51
      Increased shares by 88.9% (+88.5k shares) Q2 2023
      Avg closing price $173.48
      Price range $161.47 - $183.69
      New holding (+99.6k shares) Q1 2023
      Avg closing price $166.56
      Price range $147.75 - $181.27
      Sold -297k shares Q3 2021
      Avg closing price $139.61
      Price range $130.00 - $154.32
      Increased shares by 0.4% (+1.25k shares) Q2 2021
      Avg closing price $144.16
      Price range $135.00 - $151.62
      Increased shares by 6.6% (+18.3k shares) Q1 2021
      Avg closing price $136.53
      Price range $116.31 - $157.50
      Sold 0.6% shares (-1.63k shares) Q4 2020
      Avg closing price $114.23
      Price range $89.97 - $135.61
      Increased shares by 52.0% (+95.7k shares) Q3 2020
      Avg closing price $94.34
      Price range $83.52 - $107.76
      Increased shares by 6.4% (+11k shares) Q2 2020
      Avg closing price $86.85
      Price range $59.08 - $113.14
      Increased shares by 0.6% (+1.09k shares) Q1 2020
      Avg closing price $124.41
      Price range $63.81 - $151.49
      Sold 18.7% shares (-39.5k shares) Q4 2019
      Avg closing price $133.98
      Price range $117.67 - $153.13
      Increased shares by 19.6% (+34.6k shares) Q3 2019
      Avg closing price $132.67
      Price range $120.77 - $143.96
      Sold 1.9% shares (-3.4k shares) Q2 2019
      Avg closing price $132.68
      Price range $123.70 - $140.29

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