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American Express Company shares owned by First Eagle Investment Management

Quarter-by-quarter ownership of American Express Company (AXP) shares owned by First Eagle Investment Management from 13F filings

Historical chart of First Eagle Investment Management investment in American Express Company

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All positions including American Express Company held by First Eagle Investment Management consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in American Express Company by First Eagle Investment Management

Quarter filed Position value Share count Share price at filing
2024-09-30 $705M 2.6M 271.21
2024-06-30 $601M 2.6M 231.56
2024-03-31 $593M 2.6M 227.70
2023-12-31 $487M 2.6M 187.35
2023-09-30 $388M 2.6M 149.17
2023-06-30 $461M 2.6M 174.20
2023-03-31 $440M 2.7M 164.96
2022-12-31 $420M 2.8M 147.76
2022-09-30 $413M 3.1M 134.91
2022-06-30 $449M 3.2M 138.62
2022-03-31 $611M 3.3M 187.00
2021-12-31 $691M 4.2M 163.60
2021-09-30 $713M 4.3M 167.53
2021-06-30 $759M 4.6M 165.23
2021-03-31 $721M 5.1M 141.44
2020-12-31 $621M 5.1M 120.91
2020-09-30 $433M 4.3M 100.25
2020-06-30 $283M 3.0M 95.20
2020-03-31 $327M 3.8M 85.61
2019-12-31 $520M 4.2M 124.49
2019-09-30 $510M 4.3M 118.28
2019-06-30 $705M 6.5M 109.30
2019-03-31 $705M 6.5M 109.30
2018-12-31 $726M 7.6M 95.32
2018-09-30 $848M 8.0M 106.49
2018-06-30 $1.2B 12M 98.00
2018-03-31 $1.2B 13M 93.28
2017-12-31 $1.3B 13M 99.31
2017-09-30 $1.2B 13M 90.46
2017-06-30 $1.4B 16M 84.24
2017-03-31 $1.3B 16M 79.11
2016-12-31 $1.2B 16M 74.08
2016-09-30 $1.0B 16M 64.04
2016-06-30 $956M 16M 60.76
2016-03-31 $955M 16M 61.40
2015-12-31 $885M 13M 69.55
2015-09-30 $947M 13M 74.13
2015-06-30 $931M 12M 77.72
2015-03-31 $917M 12M 78.12
2014-12-31 $737M 7.9M 93.04
2014-09-30 $691M 7.9M 87.54
2014-06-30 $735M 7.7M 94.87
2014-03-31 $694M 7.7M 90.03
2013-12-31 $695M 7.7M 90.73
2013-09-30 $768M 10M 75.52
2013-06-30 $749M 10M 74.76
2013-03-31 $672M 10M 67.46
2012-06-30 $576M 9.9M 58.21
2012-03-31 $568M 9.8M 57.86
2011-12-31 $456M 9.7M 47.17
2011-09-30 $523M 12M 44.90
2011-06-30 $651M 13M 51.70
2011-03-31 $533M 12M 45.20
2010-12-31 $480M 11M 42.92