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      Current Value of Holding

      $15.9M

      Shares

      196k

      % of Portfolio

      0.09%

      Average Buy Price

      $82.5

      Avg closing price
      Price range

      28 Joel Greenblatt Chesapeake Energy Corp. Trades

      Joel Greenblatt acquired 196k Chesapeake Energy Corp. shares worth $15.9M. That's 0.09% of their equity portfolio (306th largest holding). The first Chesapeake Energy Corp. trade was made in Q2 2014. Since then Joel Greenblatt bought shares seventeen more times and sold shares on ten occasions. The investor's estimated purchase price is $16.1M, resulting in a loss of 1.3%.

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      Increased shares by 10.6% (+18.8k shares) Q2 2025
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      Increased shares by 238.4% (+125k shares) Q1 2025
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      Increased shares by 34.5% (+13.4k shares) Q4 2024
      Avg closing price $81.46
      Price range $81.46 - $81.46
      Sold 60.2% shares (-58.9k shares) Q3 2024
      Avg closing price $76.44
      Price range $70.31 - $83.77
      Increased shares by 17.5% (+14.5k shares) Q2 2024
      Avg closing price $88.31
      Price range $82.19 - $92.96
      Sold 41.1% shares (-58k shares) Q1 2024
      Avg closing price $80.29
      Price range $74.89 - $88.83
      Increased shares by 47.1% (+45.2k shares) Q4 2023
      Avg closing price $82.11
      Price range $73.76 - $89.59
      Sold 10.6% shares (-11.3k shares) Q3 2023
      Avg closing price $84.86
      Price range $80.85 - $90.26
      Increased shares by 158.5% (+65.8k shares) Q2 2023
      Avg closing price $79.80
      Price range $75.25 - $84.00
      Increased shares by 235.4% (+29.1k shares) Q1 2023
      Avg closing price $82.31
      Price range $71.66 - $92.23
      Increased shares by 24.0% (+2.39k shares) Q4 2022
      Avg closing price $99.07
      Price range $93.63 - $104.75
      Increased shares by 98.9% (+4.97k shares) Q3 2022
      Avg closing price $93.95
      Price range $74.34 - $104.56
      New holding (+5.02k shares) Q2 2022
      Avg closing price $90.41
      Price range $76.34 - $103.15
      Sold -819 shares Q2 2020
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      New holding (+819 shares) Q1 2020
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      Sold -3.21k shares Q2 2019
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      New holding (+3.21k shares) Q1 2019
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      Sold -409 shares Q4 2018
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      Sold 4.0% shares (-17 shares) Q3 2018
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      Increased shares by 281.3% (+315 shares) Q2 2018
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