Position history
First Eagle Investment Management, LLC
13F holdings history for
DCO · Ducommun Inc. Del
Shares held by quarter
New Add Reduce Exit
- 2021 Q3 · 9,577 shares · $482K · <0.01% of portfolio
- 2021 Q4 · 28,825 shares · $1M · <0.01% of portfolio · Add +201.0%
- 2022 Q1 · 57,863 shares · $3M · <0.01% of portfolio · Add +100.7%
- 2022 Q2 · 85,320 shares · $4M · 0.01% of portfolio · Add +47.5%
- 2022 Q3 · 96,173 shares · $4M · 0.01% of portfolio · Add +12.7%
- 2022 Q4 · 107,763 shares · $5M · 0.01% of portfolio · Add +12.1%
- 2023 Q1 · 139,163 shares · $8M · 0.02% of portfolio · Add +29.1%
- 2023 Q2 · 180,463 shares · $8M · 0.02% of portfolio · Add +29.7%
- 2023 Q3 · 247,689 shares · $11M · 0.03% of portfolio · Add +37.3%
- 2023 Q4 · 203,985 shares · $11M · 0.03% of portfolio · Reduce −17.6%
- 2024 Q1 · 219,479 shares · $11M · 0.03% of portfolio · Add +7.6%
- 2024 Q2 · 223,979 shares · $13M · 0.03% of portfolio · Add +2.1%
- 2024 Q3 · 242,387 shares · $16M · 0.03% of portfolio · Add +8.2%
- 2024 Q4 · 253,087 shares · $16M · 0.04% of portfolio · Add +4.4%
- 2025 Q1 · 248,587 shares · $14M · 0.03% of portfolio · Reduce −1.8%
- 2025 Q2 · 217,888 shares · $18M · 0.04% of portfolio · Reduce −12.3%
- 2025 Q3 · 183,024 shares · $18M · 0.03% of portfolio · Reduce −16.0%
- 2025 Q4 · 181,324 shares · $17M · 0.03% of portfolio · Reduce −0.9%
- 2026 Q1 · 307,552 shares · $38M · 0.06% of portfolio · Add +69.6%
- 2026 Q2 · 176,376 shares · $33M · 0.05% of portfolio · Reduce −42.7%
| Holdings date | Value | % of holdings | Shares | Filing date | All 13F holders |
|---|